Financials
Valor 202020212022202320242025 TTM Cash from investing activities 4.97 B5.15 B5.57 B5.23 B5.54 B6.33 B — Cash from financing activities 3.73 B5.45 B2.88 B1.45 B674 M571 M — Free cash flow -4.22 B-5.49 B-2.56 B-2.05 B-693 M-715 M —