Financials
Valor 202020212022202320242025 TTM Cash from investing activities -867.39 M-126.78 M-897.61 M-454.44 M-259.74 M-83.68 M -83.68 M Cash from financing activities 910.94 M694.73 M50.81 M461.69 M263.68 M207.04 M 207.04 M Free cash flow 47.43 M96.46 M104.23 M83.02 M72 M96.93 M 96.93 M