Financials
Valor 202020212022202320242025 TTM Cash from investing activities -340.02 M-130.5 M-410.36 M-311.78 M-258.8 M55.59 M 55.59 M Cash from financing activities 398.8 M216.93 M164.3 M266.13 M213.3 M-84.7 M -84.7 M Free cash flow 30.23 M38.83 M18.68 M59.27 M44.06 M42.12 M 43.11 M