Financials
Valor 202020212022202320242025 TTM Cash from investing activities -398.72 M-1.53 B-2.14 B335.78 M-835.62 M-182.1 M -182.1 M Cash from financing activities 1.66 B1.56 B259.22 M-583.13 M599.38 M-15.01 M -15.01 M Free cash flow 165.09 M189.37 M201.68 M209.84 M221.57 M233.33 M 233.33 M