Financials
Valor 202020212022202320242025 TTM Cash from investing activities 432 M776 M866 M435 M-174.28 M269.65 M 269.06 M Cash from financing activities -303 M657 M2.16 B423 M-20.39 M21.36 M 21.36 M Free cash flow -175 M131 M1.33 B200 M34.3 M19.45 M -135.33 M