Financials
Valor 20202021202220232024 TTM Cash from investing activities -24.62 M-41.73 M-36.23 M-10.67 M41.06 M 35.33 M Cash from financing activities -12.88 M17.96 M25.94 M-10.61 M-24.42 M -35.57 M Free cash flow 11.9 M-39.25 M-31.69 M-9.1 M-31.8 M 1.43 M