Financials
Valor 202020212022202320242025 TTM Cash from investing activities 4.59 B-3.54 B-4.23 B-4.02 B-2.93 B-2 B -2 B Cash from financing activities -5.37 B2.85 B487 M1.31 B658 M372 M 372 M Free cash flow 855 M1.74 B2.39 B2.29 B2.12 B1.53 B 1.53 B