Financials
Valor 202020212022202320242025 TTM Cash from investing activities -20.35 M-744.64 M-336.44 M-462.33 M-441.59 M-828.04 M -828.04 M Cash from financing activities -186.5 M576.99 M-139.27 M51.31 M-38.19 M176.41 M 176.41 M Free cash flow 184.72 M181.28 M433.72 M355.99 M471.71 M531.04 M 504.29 M