Financials
Valor 20202021202220232024 TTM Cash from investing activities -44.93 M-35.66 M-60.83 M-95.41 M-318.75 M -51.15 M Cash from financing activities -213.04 M-223.03 M-126.89 M-156.47 M-245.61 M -341.55 M Free cash flow 225.84 M169.45 M317.49 M346.53 M465.2 M 458.46 M