Financials
Valor 202020212022202320242025 TTM Cash from investing activities 108.3 M-423.5 M-359.8 M3.18 B1.02 B-37.7 M -39.9 M Cash from financing activities -497.1 M-209.9 M487.6 M-2.26 B-1.58 B-401.2 M -361.5 M Free cash flow 229.3 M244.8 M-117.8 M-468.7 M118.6 M165.3 M 302.9 M