Financials
Valor 202020212022202320242025 TTM Cash from investing activities -326.6 M-1.22 B2.15 B-83.5 M-70.9 M-149 M -149 M Cash from financing activities 194.8 M210.4 M-1.61 B-279.9 M-173.9 M-257.9 M -257.9 M Free cash flow 283 M304.7 M-515.9 M183.4 M238.4 M336.5 M 336.5 M