Financials
Valor 202020212022202320242025 TTM Cash from investing activities -136.45 M-336.2 M-216.25 M103.13 M-109 M-377.96 M -377.96 M Cash from financing activities -202.11 M30.14 M-161.71 M-410.3 M-181.56 M40.76 M 40.76 M Free cash flow 214.55 M214.29 M169.06 M137.19 M119.4 M-145.84 M -145.84 M