Financials
Valor 20202021202220232024 TTM Cash from investing activities 153.99 M-295.06 M-123.03 M7.5 M503.96 M — Cash from financing activities 40.66 M1.68 M877 K-28.49 M-425.34 M — Free cash flow 171.94 M35.99 M-87.28 M-23.01 M-15.92 M 0