Financials
Valor 202020212022202320242025 TTM Cash from investing activities 347.63 M126.56 M153.67 M198.59 M226.85 M155.5 M — Cash from financing activities 271.14 M190.44 M286.55 M98.72 M99.24 M36.12 M — Free cash flow 168.7 M216.78 M467.47 M300.94 M471.03 M14.71 M —