Financials
Valor 20202021202220232024 TTM Cash from investing activities -194.35 M-171.07 M-307.43 M-240.41 M-223.69 M -223.69 M Cash from financing activities 1.61 B-902.48 M-1.28 B130.59 M-219.4 M -219.4 M Free cash flow 476.73 M230.04 M-67.14 M-213.69 M249.3 M 252.33 M