Financials
Valor 202020212022202320242025 TTM Cash from investing activities -693.53 M-358.62 M-280.01 M-226.6 M-335.67 M-463.22 M -463.22 M Cash from financing activities 704.7 M216.45 M-2.75 M283.58 M328.61 M352.41 M 352.41 M Free cash flow 60.9 M113.32 M93.47 M79.41 M97.09 M97.39 M 97.39 M