Financials
Valor 202020212022202320242025 TTM Cash from investing activities 839.81 K-510.46 K-188.74 K-399.42 K-102 K-10.63 B -10.63 B Cash from financing activities -4.63 M503.13 K-655.13 K-2.05 M4.98 B7.66 B 7.66 B Free cash flow 1.6 M111.27 K1.89 M462.88 K84.78 M183.2 M 202.09 M