Financials
Valor 202020212022202320242025 TTM Cash from investing activities 6.11 M208.6 M-1.3 B-332.2 M343.6 M424.2 M 424.2 M Cash from financing activities -19.48 M24.3 M-23.7 M-61.5 M-625 M-518.8 M -518.8 M Free cash flow 73.36 M1.6 M293.3 M581.3 M74.7 M102.4 M 102.4 M