Financials
Valor 202020212022202320242025 TTM Cash from investing activities 86.76 M496.68 M67.67 M166.6 M140.05 M962 K — Cash from financing activities 677.73 M804.18 M5.27 M105.41 M74.45 M-15 M — Free cash flow -48.27 M42.58 M92.05 M105.07 M57.01 M-102.35 M —