Financials
Valor 202020212022202320242025 TTM Cash from investing activities -1.05 B-1.69 B-3.09 B-1.58 B-3.16 B-2.02 B -2.02 B Cash from financing activities -78.22 M-499.5 M1.03 B-544.4 M944.95 M-360.04 M -360.04 M Free cash flow 743.96 M953.91 M1.11 B1.19 B1.17 B1.23 B 1.23 B