Financials
Valor 202020212022202320242025 TTM Cash from investing activities 1.54 B-651.46 M81.59 M793.5 M932.76 M-1.61 B -1.61 B Cash from financing activities -725.67 M-91.02 M-150.24 M-557.77 M-796.59 M227.04 M 227.04 M Free cash flow 105.84 M74.87 M99.76 M176.23 M127.42 M78.68 M 78.68 M