Financials
Valor 20212022202320242025 TTM Cash from investing activities -500.06 M-1.24 B-529.53 M-520.93 M-610.2 M -610.2 M Cash from financing activities 618.94 M1.22 B570.29 M495.15 M319.39 M 319.39 M Free cash flow -1.04 M9.6 M35.64 M33.37 M50.84 M 50.84 M