Financials
Valor 202020212022202320242025 TTM Cash from investing activities -500 M-90.45 M-72.82 M-67.85 M-143.4 M-70.35 M -70.35 M Cash from financing activities 501.23 M193.33 M-28.72 M-161.98 M-39.27 M-52.22 M -52.22 M Free cash flow -211.29 K-161.81 M49.42 M172.27 M98.12 M35.09 M 35.09 M