Financials
Valor 20202021202220232024 TTM Cash from investing activities 829.88 M789.59 M-510.28 M420.37 M-210.25 M — Cash from financing activities -143.54 M-723.54 M-321.91 M-841.75 M-707.83 M — Free cash flow 362.73 M25.54 M247.28 M213.57 M224.16 M 0