Financials
Valor 202020212022202320242025 TTM Cash from investing activities -446.01 M-504.18 M-260.17 M243.31 M-160.39 M-260.18 M -260.18 M Cash from financing activities 334.38 M801.72 M-444.46 M53.22 M-71.74 M171.36 M 171.36 M Free cash flow 120.31 M200.19 M91.75 M50.64 M57.71 M42.59 M 42.59 M