Financials
Valor 20212022202320242025 TTM Cash from investing activities -457.94 M-22.42 M-476.23 M-1.76 B-834.01 M -834.01 M Cash from financing activities 429.28 M314.76 M-12.61 M1.17 B78.12 M 78.12 M Free cash flow -69.67 M327.8 M477.2 M514.87 M640.65 M 640.65 M