Financials
Valor 20202021202220232024 TTM Cash from investing activities -18.77 M-54.87 M-6.99 M-49.63 M-21.64 M -39.12 M Cash from financing activities -349.43 K5.42 M-41.53 M22.32 M-15.35 M 262 K Free cash flow -13.56 M-882 K51.24 M-16 M24.03 M 5.61 M