Financials
Valor 20202021202220232024 TTM Cash from investing activities -181.01 M-205.26 M-328.36 M-566.94 M-386.64 M — Cash from financing activities 305.17 M365.46 M730.23 M640.8 M313.94 M — Free cash flow -104.79 M-177.19 M-343.58 M-75.7 M113.31 M —