Financials
Valor 202020212022202320242025 TTM Cash from investing activities 16.38 M-884.79 M-1.17 B-286.18 M-193.69 M-369.73 M -369.73 M Cash from financing activities -136.8 M745.71 M934.53 M-104.39 M-191.22 M-59.38 M -59.38 M Free cash flow 126.27 M124.67 M192.99 M361.5 M374.33 M389.08 M 389.08 M