Financials
Valor 202020212022202320242025 TTM Cash from investing activities -202.4 M-204.6 M-4.55 B-84 M-117 M-145 M -145 M Cash from financing activities -121.5 M-65.1 M3.97 B-259 M-549 M-562 M -562 M Free cash flow 428.3 M552.8 M365 M232 M410 M497 M 497 M