Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1 M-172.68 M-17.05 M115.72 M-302.44 M-92.97 M -92.97 M Cash from financing activities 278.98 M118.09 M3.08 M156.83 M337.25 M112.96 M — Free cash flow -51.91 M-78.24 M-98.22 M-78.56 M-138.37 M-109.62 M -109.62 M