Financials
Valor 202020212022202320242025 TTM Cash from investing activities -41.58 M-192.63 M-127.4 M-267.81 M-1.51 B-1.46 B -1.46 B Cash from financing activities -105.56 M36.74 M-23.73 M394.32 M1.19 B1.05 B 1.05 B Free cash flow 53.09 M-35.85 M122.5 M-82.81 M-572.92 M-1.08 B -1.08 B