Financials
Valor 202020212022202320242025 TTM Cash from investing activities -772.51 M-160.75 M410.49 M-179.19 M-142 M228.37 M 228.37 M Cash from financing activities 167.82 M-527.29 M-1.03 B-496.04 M-719.04 M-940.28 M -940.28 M Free cash flow 729 M692.2 M646.76 M710.96 M723.86 M851.77 M 851.77 M