Financials
Valor 202020212022202320242025 TTM Cash from investing activities -259.75 M-316.73 M-353.32 M-121.85 M-32.99 M-25.04 M -25.04 M Cash from financing activities 558.93 M8.42 M298.75 M213.61 M-7.52 M30.05 M 30.05 M Free cash flow -123.85 M250.34 M38.86 M17.39 M13.92 M18.2 M 18.2 M