Financials
Valor 202020212022202320242025 TTM Cash from investing activities -153.39 M-9.61 B-13.65 B-3.88 B-19.05 B-16.28 B -16.28 B Cash from financing activities 9.8 B20.36 B22.06 B12.77 B7.08 B17.43 B 17.43 B Free cash flow -6.11 B-7.28 B-5.36 B-1.6 B6.51 B317 M 317 M