Financials
Valor 202020212022202320242025 TTM Cash from investing activities -66.33 M-121.26 M-20.87 M235.52 M356.18 M101.16 M — Cash from financing activities -34.95 M-368.07 M-935.95 M-595.89 M-648.2 M-336.04 M — Free cash flow 98.49 M636.92 M744.5 M317.69 M416.06 M211.95 M —