Financials
Valor 202020212022202320242025 TTM Cash from investing activities 151.25 M-14.32 M-1.22 M-19.74 M-112.24 M-118.27 M -118.27 M Cash from financing activities -439.38 M-235.48 M-428.34 M-435.54 M-344.57 M-192.93 M -192.93 M Free cash flow 277.79 M242.34 M412.45 M501.98 M277.44 M202.18 M 202.18 M