Financials
Valor 20202021202220232024 TTM Cash from investing activities -400.4 M-3 M-88.24 M58.34 M-147.2 M — Cash from financing activities -73.44 M-16.81 M-15.8 M-136-302.35 M — Free cash flow 89.73 M-111.22 M-13.34 M-9.01 M-34.52 M 0