Financials
Valor 202020212022202320242025 TTM Cash from investing activities 93.03 M-115.36 M-713.9 M-359.53 M-769.71 M-590.12 M -590.12 M Cash from financing activities -328.48 M-50.44 M484.21 M84.19 M547.92 M335.93 M 335.93 M Free cash flow 238.74 M196.22 M213.78 M237.42 M233.32 M288.29 M 288.29 M