Financials
Valor 202020212022202320242025 TTM Cash from investing activities -422.59 M-99.83 M20.52 M139.89 M-404.08 M-521.06 M -521.06 M Cash from financing activities 289.26 M250.28 M153 M4.19 M608.85 M990.71 M 990.71 M Free cash flow 79.03 M-130.54 M-155.92 M-137.31 M-207.34 M-234.34 M -234.34 M