Financials
Valor 202020212022202320242025 TTM Cash from investing activities -340.88 M52.48 M-628.18 M-23.21 M419.03 M241.86 M 241.86 M Cash from financing activities 507.14 M-99.09 M480.98 M23.03 M-357.88 M-315.52 M -315.52 M Free cash flow -111.35 M58.05 M93.48 M43.09 M-6.9 M11.95 M 11.95 M