Financials
Valor 20202021202220232024 TTM Cash from investing activities -506.67 M-148 M-194.38 M-92.78 M-764.91 M — Cash from financing activities 428.48 M74.05 M43.33 M-57.94 M444.98 M — Free cash flow -318.78 M88.49 M-148.6 M60.96 M-561.7 M —