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Free cash flow

The free cash flow shows Galenica's capacity to pay dividends and repay debt and repay equity. It provides information on the remaining cash and cash equivalents from the operating cash flow, reduced by all lease payments and after consideration of investment activities.

Free cash flow

in thousand CHF

1.1.–30.6.2025

1.1.–30.6.2024

Cash flow from operating activities before working capital changes

152,399

124,056

Payment of lease liabilities

–26,558

–26,213

Cash flow from operating activities before working capital changes adjusted

125,842

97,843

Working capital changes

–43,465

–80,231

Cash flow from operating activities adjusted

82,377

17,612

Cash flow from investing activities without M&A 1)

–31,865

–45,526

Free cash flow before M&A

50,512

–27,913

Cash flow from M&A 2)

–34,378

–17,411

Free cash flow

16,134

–45,324

1) Cash flow from investing activities without net cash flow from business combinations and net cash flow from sale of subsidiaries

2) Net cash flow from business combinations and net cash flow from sale of subsidiaries

CAPEX

in thousand CHF

1.1.–30.6.2025

1.1.–30.6.2024

Investments in property, plant and equipment

15,097

18,829

Investments in intangible assets

12,538

19,584

CAPEX

27,635

38,413

Cash conversion

 

1.1.–30.6.2025

1.1.–30.6.2024

Cash conversion 1)

80.0%

69.4%

1) Calculated as EBITDA adjusted less CAPEX divided by EBITDA adjusted

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