Financials
Valor 202020212022202320242025 TTM Cash from investing activities -531.07 M-633.42 M-325.16 M-310.09 M-8.23 M-140.04 M -140.04 M Cash from financing activities 468.55 M545.69 M242.94 M293.17 M-106.02 M142.67 M 142.67 M Free cash flow 39.19 M63.56 M125.2 M7.9 M72.15 M13.25 M 13.25 M