Financials
Valor 20202021202220232024 TTM Cash from investing activities -417.14 M-471.18 M661 K-129.24 M-210.17 M -210.18 M Cash from financing activities 498.7 M355.06 M98.67 M98.28 M174.87 M 133.92 M Free cash flow 26.5 M34.3 M26.57 M23.4 M27.29 M 32.93 M