Financials
Valor 20202021202220232024 TTM Cash from investing activities -185.25 M-175.06 M-14.11 M-447.09 M-753.14 M — Cash from financing activities 95.44 M40.55 M-35.09 M307.01 M644.99 M — Free cash flow -104.56 M-256.93 M55.34 M-278.26 M-960.46 M —