Financials
Valor 202020212022202320242025 TTM Cash from investing activities -83.85 M-106.25 M-316.24 M-253.01 M-782.13 M-348.05 M — Cash from financing activities -9.91 M-32.2 M-184.45 M-233.22 M349.26 M-53.76 M — Free cash flow 21.67 M60.14 M72.56 M377.42 M-263.55 M281.04 M 0