Financials
Valor 202020212022202320242025 TTM Cash from investing activities -197.88 M-368.93 M-1.25 M-196.02 M-186.62 M-175.35 M -175.35 M Cash from financing activities -1.58 M126.38 M-203.23 M-29.5 M98.18 M-75.31 M -75.31 M Free cash flow -223.77 M16.19 M-55.69 M210.13 M198.11 M140.56 M 140.56 M