Financials
Valor 20202021202220232024 TTM Cash from investing activities -3.75 M-3.38 M-5.55 M71 K59.86 M 57.03 M Cash from financing activities -970 K-275 K-6.27 M4.03 M-49.73 M -50.31 M Free cash flow -17.33 M-11.29 M-6.04 M-11.46 M-5.29 M -13.15 M