Financials
Valor 202020212022202320242025 TTM Cash from investing activities -562.42 M-482.5 M-178.69 M474.38 M-7.51 M-302.63 M -302.63 M Cash from financing activities 831.08 M164.22 M96.69 M-556.17 M-138.76 M305.45 M 305.45 M Free cash flow 61.08 M65.89 M60.8 M68.78 M119.48 M124.03 M 124.03 M