Financials
Valor 20212022202320242025 TTM Cash from investing activities -373.2 M-773.3 M-39.34 M779.91 M1.87 B 1.87 B Cash from financing activities 62.8 M676.3 M-205.07 M-945.82 M-1.78 B -1.78 B Free cash flow 202.09 M111.03 M104.12 M84.52 M-30.46 M -30.46 M