Financials
Valor 202020212022202320242025 TTM Cash from investing activities -119.7 M40.9 M-82.6 M-104.2 M-409.4 M-124.5 M — Cash from financing activities 65.2 M44.8 M92.6 M139 M292 M190.8 M — Free cash flow -92.2 M-77.8 M-20.8 M-163.4 M22 M163.4 M 9.2 M