Financials
Valor 202020212022202320242025 TTM Cash from investing activities 13.87 B21.05 B39.65 B29.76 B29.96 B31.78 B — Cash from financing activities 8.7 B16.26 B32.46 B19.93 B26.9 B21.69 B — Free cash flow 8.34 B7.87 B8.75 B6.47 B7.57 B10.96 B —