Financials
Valor 202020212022202320242025 TTM Cash from investing activities -2.62 B-1.64 B-2.12 B980.57 M409.71 M-214.43 M -214.43 M Cash from financing activities 1.94 B334.87 M1.08 B-1.62 B-940.66 M-417.52 M -417.52 M Free cash flow 844.57 M1.18 B1.29 B657.5 M433.78 M358.61 M 358.61 M