Financials
Valor 202020212022202320242025 TTM Cash from investing activities -647.8 M-2.39 B-435 M-1.02 B-342 M-732 M -732 M Cash from financing activities -152 M1.78 B-666 M-106 M-489 M-18 M -18 M Free cash flow 794.5 M582 M1.06 B1.12 B806 M841 M 837 M