Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.47 M-30.97 M-280.06 M-70.4 M-200.07 M-49.19 M — Cash from financing activities -607.38 M-283.77 M127.17 M-373.81 M-191.65 M-266.48 M — Free cash flow 603.02 M156.88 M168.75 M214.69 M137.56 M147.44 M -18.69 M