Financials
Valor 202020212022202320242025 TTM Cash from investing activities 87.74 M-656.48 M-908.24 M-584.73 M-1.05 B-1.52 B -1.52 B Cash from financing activities -149.89 M626.17 M874.02 M535.77 M1.02 B1.68 B 1.68 B Free cash flow 54.17 M57.49 M48.35 M48.66 M37.47 M17.88 M 17.88 M