Financials
Valor 20202021202220232024 TTM Cash from investing activities 136.82 M-951.63 M-1.07 B-1.57 B-1.1 B — Cash from financing activities -503.05 M355.23 M464.55 M150.21 M-289.68 M — Free cash flow 813.88 M904.56 M854.77 M990.69 M1.26 B —