Financials
Valor 202020212022202320242025 TTM Cash from investing activities -874.94 M-1.49 B-137.37 M-326.26 M-66.73 M124.88 M 124.88 M Cash from financing activities 1.94 B1.24 B-1.04 B344.9 M-91.25 M199.46 M 199.46 M Free cash flow 7.98 M119.07 M472.05 M230.6 M205.64 M213.61 M 213.61 M