Financials
Valor 202020212022202320242025 TTM Cash from investing activities -215.72 M-1.36 B-1.34 B68.42 M577.17 M-1.39 B -1.39 B Cash from financing activities -75.12 M1.18 B957.97 M-343.36 M-689.31 M1.06 B 1.06 B Free cash flow 164.05 M199.25 M234.67 M201.23 M30.75 M42.31 M 42.31 M