Financials
Valor 20202021202220232024 TTM Cash from investing activities -7.83 M-4.53 M-44.55 M-109.52 M-14.97 M -13.53 M Cash from financing activities -28.2 M-22.66 M-13.46 M56.53 M-56.42 M -44.32 M Free cash flow 22.16 M23.53 M48.26 M54.94 M52.87 M 54.73 M