Financials
Valor 202020212022202320242025 TTM Cash from investing activities -666.54 M-894.15 M-987.95 M-598.99 M-608.57 M-525.65 M -525.65 M Cash from financing activities 622.26 M859.84 M449.83 M543.46 M318.17 M555.52 M 555.52 M Free cash flow 13.96 M27.25 M64.26 M190.27 M249.89 M246.15 M 246.15 M