Financials
Valor 202020212022202320242025 TTM Cash from investing activities -501.13 M-38.69 M273.27 M548.66 M-321.18 M— — Cash from financing activities -243.87 M-13.21 M-121.06 M-79.72 M25.6 M— — Free cash flow 344.82 M69.62 M-1.85 M-30 M-58.77 M— —