Financials
Valor 202020212022202320242025 TTM Cash from investing activities -379.43 M-351.95 M-708.57 M-860.89 M-960.13 M-922.21 M -922.21 M Cash from financing activities 76.14 M-11.14 M185.99 M-28.52 M-29.66 M-71.38 M -71.38 M Free cash flow 247.1 M401.12 M550.91 M853.23 M952.36 M990.05 M 990.05 M