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Consolidated statement of cash flows

in thousand CHF

1.1.–30.6.2026

1.1.–30.6.2025

Profit from continuing operations

67,275

88,644

Income taxes

13,090

17,858

Depreciation, amortisation and impairment

83,349

55,126

Net loss on disposal of non-current assets

–78

–152

Increase in provisions and employee benefit assets and liabilities

6,426

1,060

Net financial result

7,853

2,272

Share of profit from associates and joint ventures

–4,772

–2,949

Share-based payments

2,399

2,552

Interest received

498

645

Interest paid

–3,247

–3,304

Other net financial receipts/(payments)

82

–205

Dividends received

8,902

5,668

Income taxes paid

–27,180

–14,817

Cash flow from operating activities before working capital changes

154,596

152,399

Change in trade and other receivables

–106,268

–120,178

Change in inventories

–8,870

5,927

Change in trade and other payables

7,943

59,090

Change in other net current assets

13,377

11,695

Working capital changes

–93,818

–43,465

Cash flow from operating activities

60,778

108,934

 

 

 

Investments in property, plant and equipment

–19,404

–15,222

Investments in intangible assets

–15,130

–14,488

Investments in financial assets

–11,025

–6,963

Proceeds from sale of property, plant and equipment and intangible assets

154

320

Proceeds from sale of financial assets

7,368

4,487

Net cash flow from business combinations

–18,927

–34,378

Cash flow from investing activities

–56,964

–66,242

 

 

 

Dividends paid

–125,015

–114,823

Purchase of treasury shares

–6,826

–6,530

Proceeds from sale of treasury shares

272

233

Proceeds from financial liabilities

147,012

88,766

Repayment of financial liabilities

–64,194

–46,382

Payment of lease liabilities

–27,915

–26,558

Cash flow from discontinued operations

–3,040

Cash flow from financing activities

–79,706

–105,295

 

 

 

Effects of exchange rate changes on cash and cash equivalents

–10

–11

Decrease in cash and cash equivalents

–75,901

–62,614

 

 

 

Cash and cash equivalents as at 1 January

115,507

129,682

Cash and cash equivalents as at 30 June

39,605

67,068

Unaudited figures

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