Financials
Valor 202020212022202320242025 TTM Cash from investing activities -265.18 M-288.71 M-560.95 M-233.59 M-240.76 M-265.34 M -265.34 M Cash from financing activities -136.33 M5.25 M-3 M60.87 M-246.46 M-225.34 M -225.34 M Free cash flow 276.77 M338.45 M4.05 M237.81 M241.36 M194.46 M 194.46 M