Financials
Valor 20202021202220232024 TTM Cash from investing activities -1.39 M-1.71 M-5.44 M-3.42 M-4.15 M -2.7 M Cash from financing activities 701.01 K-721.43 K-209.81 K-779.72 K-834.57 K -204.6 K Free cash flow -885.19 K1.86 M1.2 M1.08 M853 K 2.12 M