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Chemical Works of Gedeon Richter Plc (DE:RIG2)
FRANKFURT:RIG2
Germany Market

Chemical Works of Gedeon Richter (RIG2) Cash flow

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Chemical Works of Gedeon Richter Cash Flow

DE:RIG2's free cash flow for Q1 2026 was Ft77.00B. For the 2026 fiscal year, DE:RIG2's free cash flow was decreased by Ft5.65B and operating cash flow was Ft80.42B. See a summary of the company’s cash flow.
Cash Flow
Dec 25Dec 24Dec 23Dec 22Dec 21
Operating Cash Flow
Ft 292.33BFt 297.03BFt 123.67BFt 186.00BFt 139.90B
Investing Cash Flow
Ft -107.83BFt -86.49BFt -44.87BFt -132.29BFt -252.13B
Financing Cash Flow
Ft -102.96BFt -155.16BFt -103.81BFt -46.91BFt 25.26B
End Cash Position
Ft 211.82BFt 135.63BFt 79.53BFt 80.68BFt 59.66B
Free Cash Flow
Ft 249.75BFt 244.10BFt 61.71BFt 126.77BFt 93.78B
Currency in HUF

Chemical Works of Gedeon Richter Cash Flow