Financials
Valor 202020212022202320242025 TTM Cash from investing activities 145.59 M-696.83 M-669.49 M70.18 M110.62 M-431.51 M -431.51 M Cash from financing activities 470.02 M815.13 M-399.98 M-41.67 M410.4 M48.74 M 48.74 M Free cash flow 54.93 M56.6 M69.07 M71.34 M37.35 M61.3 M 61.58 M