Financials
Valor 202020212022202320242025 TTM Cash from investing activities -294.28 M-300.12 M-435.46 M-335.5 M-428.99 M-808.9 M -808.9 M Cash from financing activities 171.78 M131.44 M301.63 M64.21 M227.06 M532.87 M 532.87 M Free cash flow -130 M-133.54 M-190.93 M-47.4 M-194.12 M-197.77 M -197.77 M