Financials
Valor 202020212022202320242025 TTM Cash from investing activities -382.82 M-159.09 M-405.63 M-255.07 M-197.63 M-223.43 M -223.43 M Cash from financing activities 439.82 M576.96 M-58.98 M75.33 M150.56 M167.26 M 167.26 M Free cash flow -39.72 M109.48 M74.28 M32.61 M-9.35 M133.87 M 133.87 M