Financials
Valor 202020212022202320242025 TTM Cash from investing activities -337.88 M-574.73 M-321.47 M-86.55 M-512.85 M-206.49 M -206.49 M Cash from financing activities 83.11 M400.69 M-190.27 M-333.56 M208.16 M-130.06 M -130.06 M Free cash flow 128.05 M187.33 M331.86 M349.69 M251.16 M246.49 M 246.49 M