Financials
Valor 202020212022202320242025 TTM Cash from investing activities -51.81 M-101.31 M397.25 M-29.58 M-222.86 M528.71 M 528.71 M Cash from financing activities 24.4 M907.37 M-1.54 B-303.56 M43.02 M-431.82 M -431.82 M Free cash flow -31.48 M-45.11 M139.48 M284.65 M-164.21 M-201.95 M -201.95 M