TALEA fundamentals
An in-depth look to TALEA GROUP operating, investing, and financing activities
TALEA free cash flow for H2 24 is -2.71 M EUR. For 2024, TALEA free cash flow was 385.04 k EUR and operating cash flow was 3.12 M EUR.
Cash from operating activities
Cash from investing activities
Cash from financing activities
Currency: EUR
TTM