Financials
Valor 2022202320242025 TTM Cash from investing activities 375.77 M-366.51 M-959.02 M-350.07 M -350.07 M Cash from financing activities -367.77 M-325.79 M188.08 M-373.93 M -373.93 M Free cash flow 106.67 M164.76 M80.16 M432.15 M 432.15 M