Financials
Valor 20212022202320242025 TTM Cash from investing activities 601.86 M-510.61 M-641.28 M-515.93 M-194.94 M -194.94 M Cash from financing activities -648.73 M26.67 M178.82 M144.8 M38.84 M 38.84 M Free cash flow 87.92 M432.19 M447.21 M388.84 M285 M 285 M