Financials
Valor 202020212022202320242025 TTM Cash from investing activities -342.5 M-412.51 M-364.88 M527.45 M-606.88 M-706.76 M -706.76 M Cash from financing activities 561.41 M591.58 M-366.77 M-432.82 M456.41 M430.64 M 430.64 M Free cash flow 60.65 M154.57 M195.86 M150.61 M179.9 M188.06 M 188.06 M