Financials
Valor 202020212022202320242025 TTM Cash from investing activities -450.38 M-914.46 M-525.59 M-324.75 M-217.84 M-277.08 M -277.08 M Cash from financing activities -20.96 M418.74 M-174.8 M-215.66 M-384.24 M-292.51 M -292.51 M Free cash flow 257.34 M197.05 M466.54 M221.59 M354.11 M334.06 M 334.06 M