Financials
Valor 202020212022202320242025 TTM Cash from investing activities -326.32 M-226.48 M-1.21 B-1.58 B-3.1 B-2.87 B -2.87 B Cash from financing activities 147.74 M-297.55 M-106.63 M-631.19 M97.71 M-1.06 B -1.06 B Free cash flow -156.64 M198.57 M587.67 M419.83 M291.33 M557.39 M 557.39 M