Financials
Valor 20202021202220232024 TTM Cash from investing activities -327.42 M65.06 M-349.28 M328.8 M-123.97 M — Cash from financing activities 188.97 M-279.25 M161.18 M-542.61 M-53.06 M — Free cash flow -45.61 M399.5 M-7.25 M360.22 M114.31 M —