Financials
Valor 202020212022202320242025 TTM Cash from investing activities -99 M-75.84 M-113.54 M-55.22 M206.45 M3.84 M 3.84 M Cash from financing activities -230.15 M-86.3 M-41.64 M-181.34 M-211.42 M-36.21 M -36.21 M Free cash flow 314.78 M94.82 M80.8 M192.72 M37.76 M8.62 M 55.05 M