Financials
Valor 202020212022202320242025 TTM Cash from investing activities -101.09 M-76.37 M-166.12 M-108.71 M-97.9 M-101.13 M — Cash from financing activities -57.75 M-80.12 M-113.04 M-147.25 M-270.5 M-151.48 M — Free cash flow 185.36 M220.91 M255.99 M224.25 M180.05 M208.5 M 241.44 M