Financials
Valor 202020212022202320242025 TTM Cash from investing activities -382.33 M-150.48 M30.96 M-259.56 M-266.55 M122.31 M 122.31 M Cash from financing activities 457.42 M-7.5 M-30.23 M94.58 M342.73 M-478.57 M -478.57 M Free cash flow 36.88 M-13.73 M32.69 M88.07 M78.56 M162.11 M 162.11 M