Financials
Valor 202020212022202320242025 TTM Cash from investing activities —-450.94 M137.19 M143.43 M-32.67 M-28.32 M -28.32 M Cash from financing activities —516.63 M1.91 M149 K35.88 M95.42 M 95.42 M Free cash flow —-72.58 M-101.3 M-99.31 M-92.44 M-97.23 M -97.23 M