Financials
Valor 202020212022202320242025 TTM Cash from investing activities -151.29 M-326.67 M-167.58 M-329.1 M629.11 M-206.59 M -160.19 M Cash from financing activities 44.37 M82.78 M49.18 M477.98 M-688.59 M186.68 M 155.62 M Free cash flow 78.19 M65.06 M91.74 M41.25 M24 M49.84 M 61.22 M