Financials
Valor 202020212022202320242025 TTM Cash from investing activities -804.72 M-78.87 M-384.43 M-424.05 M-677.06 M-106.5 M -106.5 M Cash from financing activities 795.81 M620.02 M-518.14 M415.94 M559.25 M535.81 M 535.81 M Free cash flow 71.67 M97.52 M90.3 M98.97 M133.02 M154 M 154 M