Financials
Valor 20202021202220232024 TTM Cash from investing activities -101.52 M-2.85 B-14 M-52.2 M-49.8 M -344.6 M Cash from financing activities -3.36 M2.7 B-322.8 M-223.5 M-270.4 M -7.3 M Free cash flow 140.68 M150.53 M178.6 M241.5 M243.8 M 330.1 M