Financials
Valor 202020212022202320242025 TTM Cash from investing activities -52.99 M-200.83 M453.15 M54.03 M60.78 M-24.49 M -24.49 M Cash from financing activities 447.19 M736.45 M-13.13 M451.54 M748.46 M359.29 M 359.29 M Free cash flow -407.23 M-546.18 M-425.81 M-529.03 M-529.63 M-455.5 M -455.5 M