Financials
Valor 202020212022202320242025 TTM Cash from investing activities -115.35 M-256.59 M-226.34 M-268.48 M-231.01 M-216.49 M -216.49 M Cash from financing activities -671.54 M-647.38 M-34.89 M-327.48 M-311.17 M-163.15 M -163.15 M Free cash flow 881.63 M220.69 M94.45 M352.86 M295.69 M117.24 M 117.24 M