Financials
Valor 202020212022202320242025 TTM Cash from investing activities 507.27 M-2.03 B-1.75 B174.91 M-728.26 M-4.07 B -4.07 B Cash from financing activities -587.43 M1.95 B1.84 B75.63 M1.14 B5.12 B 5.12 B Free cash flow 119.35 M49.08 M42.46 M-241.9 M-430.53 M-925.46 M -925.46 M