Financials
Valor 20202021202220232024 TTM Cash from investing activities -661.15 M-66.16 M-4.76 M-94.82 M-496 M — Cash from financing activities 938.57 M347.19 M-167.04 M-32.09 M445.99 M — Free cash flow -49.37 M-113.14 M24.68 M-24.66 M84.57 M -1.05 B