Financials
Valor 202020212022202320242025 TTM Cash from investing activities -554.62 M-1.22 B-447.52 M-320.35 M-731.06 M-497.3 M -497.3 M Cash from financing activities 269.18 M887.12 M63.19 M-75.67 M286.29 M97.4 M 97.4 M Free cash flow -534.62 M-1.07 B-194.68 M-39.22 M-396.55 M-197.63 M -197.63 M