Financials
Valor 202020212022202320242025 TTM Cash from investing activities -15.37 M1.09 B-1.87 B-21.73 M1.36 B429.67 M 429.67 M Cash from financing activities -702.64 M1.73 B135.89 M-1.15 B1.4 B6.72 B 6.72 B Free cash flow 671.66 M-2.82 B1.78 B1.34 B-2.7 B-7.21 B -7.21 B