Financials
Valor 202020212022202320242025 TTM Cash from investing activities -528.2 M-570.3 M90.7 M-285.8 M-1.51 B-121.4 M -121.4 M Cash from financing activities 123.7 M380.9 M-177.5 M-30.8 M1.09 B-192.4 M -192.4 M Free cash flow 177.8 M81.4 M36.3 M57.5 M312.3 M175.5 M 175.5 M