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Galderma Group AG (CH:GALD)
:GALD
Switzerland Market

Galderma Group AG (GALD) Cash flow

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Galderma Group AG Cash Flow

CH:GALD's free cash flow for Q2 2024 was CHF26.05M. For the 2024 fiscal year, CH:GALD's free cash flow was decreased by CHF175.91M and operating cash flow was CHF39.53M. See a summary of the company’s cash flow.
Cash Flow
Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
CHF 488.00MCHF 139.11MCHF 106.30MCHF 178.92M
Investing Cash Flow
CHF -326.00MCHF -156.10MCHF -70.48MCHF -487.76M
Financing Cash Flow
CHF -58.00MCHF 142.00MCHF -68.86MCHF 290.01M
End Cash Position
CHF 457.00MCHF 309.35MCHF 216.40MCHF 259.22M
Free Cash Flow
CHF 213.00MCHF 37.09MCHF -46.03MCHF 61.90M
Currency in CHF

Galderma Group AG Cash Flow

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