Financials
Valor 2022202320242025 TTM Cash from investing activities -304.79 M129.83 M-244.97 M300.56 M 300.56 M Cash from financing activities 767.6 M211.91 M677.77 M439.12 M 439.12 M Free cash flow -303.76 M-334.77 M-586.5 M-610.15 M -610.15 M