Financials
Valor 202020212022202320242025 TTM Cash from investing activities 575.51 M4.06 B3.05 B150 M130 M1.09 B 1.11 B Cash from financing activities 903.8 M-5.29 B-2.8 B-390 M-181 M-1.15 B -1.44 B Free cash flow -97.56 M-131 M-237 M-206 M-143 M-80 M -481 M