Financials
Valor 202020212022202320242025 TTM Cash from investing activities -346.08 M-640.3 M-24.18 M27.25 M-82.4 M-60.27 M -60.27 M Cash from financing activities 495.52 M590.6 M-363.67 M-136.54 M60.1 M-169.46 M -169.46 M Free cash flow 85.35 M96.16 M102.18 M101.49 M90.72 M154 M 154 M