Financials
Valor 202020212022202320242025 TTM Cash from investing activities -54.8 M-30.7 M-22.9 M-343.1 M-124.7 M-302.8 M -302.8 M Cash from financing activities -181.9 M-118.6 M-121.7 M69 M-190.5 M-96.9 M -96.9 M Free cash flow 185 M154.1 M195.9 M281.1 M325.8 M356.3 M 356.3 M