Financials
Valor 202020212022202320242025 TTM Cash from investing activities 88.71 M-1.54 B-1.18 B13.49 M1.12 B264.29 M 264.29 M Cash from financing activities -160.56 M1.58 B1.01 B-271.51 M-1.29 B-355.78 M -355.78 M Free cash flow 115.06 M124.79 M141.13 M155.72 M132.2 M61.63 M 72.28 M