Financials
Valor 20202021202220232024 TTM Cash from investing activities -466 K-2.93 M-17.76 M-8.9 M-6.92 M -7.36 M Cash from financing activities 17.16 M-156.14 M-185.27 M-28.79 M-26.41 M -30.67 M Free cash flow -35.79 M177.12 M151.29 M90.68 M87.99 M -480 K