Financials
Valor 202020212022202320242025 TTM Cash from investing activities -51.7 M-31.1 M-80.5 M-18.3 M-376.8 M-99.2 M 61.5 M Cash from financing activities -426.1 M237.9 M599.4 M63.8 M39.6 M126 M -61 M Free cash flow 583.5 M-35.5 M-532.6 M-163.3 M362.1 M-63.6 M -2.4 M