Financials
Valor 202020212022202320242025 TTM Cash from investing activities 250.12 M-81.57 M-109.39 M142.02 M-92.83 M10.32 M 10.32 M Cash from financing activities 31.08 M-33.25 M-209.34 M-236.85 M-158.22 M-281.44 M -281.44 M Free cash flow -201.78 M-266.6 M-85.16 M35.56 M146.25 M152.33 M 173.57 M