Financials
Valor 202020212022202320242025 TTM Cash from investing activities -32.83 M-490.33 M-354.86 M-414.77 M-1.51 B76.13 M 76.13 M Cash from financing activities 259.92 M665.64 M272.35 M748.52 M1.52 B455.29 M 455.29 M Free cash flow -19.33 M-233.52 M-147.88 M-156.84 M-1.07 B-777.9 M -774.31 M