Financials
Valor 202020212022202320242025 TTM Cash from investing activities -554.83 M249.96 M420.02 M-10.78 M-375.19 M307.87 M 307.87 M Cash from financing activities 1.13 B820.2 M-1.73 M-6.43 M349.89 M72.35 M 72.35 M Free cash flow -226.72 M-568.18 M-392.63 M-206.67 M-276.39 M-164.21 M -164.21 M