Financials
Valor 202020212022202320242025 TTM Cash from investing activities -123.14 M-16.36 M-770.44 M-89.63 M-384.58 M-444.2 M -444.2 M Cash from financing activities -71.18 M-258.75 M581.95 M-139.91 M179.87 M212.59 M 212.59 M Free cash flow 179.73 M251.15 M45.47 M124.97 M74.55 M-43.14 M -43.14 M