Financials
Valor 202020212022202320242025 TTM Cash from investing activities -538.55 M163.76 M-1.21 B-93.45 M-85.9 M186.75 M 186.75 M Cash from financing activities 982.97 M746.68 M-506.38 M105.31 M-86.45 M-165.58 M -165.58 M Free cash flow 63.33 M66.51 M90.44 M99.15 M61.02 M85.66 M 85.66 M