Financials
Valor 202020212022202320242025 TTM Cash from investing activities -229.1 M-300 K264 M-31.1 M-318 M-549 M -549 M Cash from financing activities 55.1 M-557.9 M106 M-252.5 M62.1 M363.6 M 363.6 M Free cash flow 275.4 M446.8 M-210 M245.2 M168.7 M198.3 M 208.1 M