Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.26 B-518 M-956 M-1.25 B-2 B-4.86 B -4.86 B Cash from financing activities -3.26 B-4.39 B-3.84 B-3.33 B-3.48 B-435 M -435 M Free cash flow 3.34 B4.38 B4.21 B4.46 B4.89 B4.1 B 4.1 B