GALD fundamentals
An in-depth look to GALDERMA GROUP AG operating, investing, and financing activities
GALD free cash flow for H2 24 is 292.53 M CHF. For 2024, GALD free cash flow was 317.04 M CHF and operating cash flow was 429.77 M CHF.
Cash from operating activities
Cash from investing activities
Cash from financing activities
Currency: CHF
TTM