Financials
Valor 202020212022202320242025 TTM Cash from investing activities -243.22 M-185.49 M-106.92 M-157.56 M-226.91 M-439.33 M -439.33 M Cash from financing activities -274.87 M-194.84 M-300.84 M-221.68 M-230 M-199.85 M -199.85 M Free cash flow 287.07 M253.99 M298.95 M288.56 M486.4 M570.97 M 570.97 M