Annual Report 2025

Annual Report 2025

de

27. Free Cashflow

Free cashflow is calculated as follows:

Free cashflow

 

 

2025

 

2024

 

 

MCHF

 

MCHF

Net cash from/used in (-) operating activities1

 

866.9

 

847.6

Purchase/sale of property, plant and equipment and intangible assets1

 

-159.3

 

-188.9

Repayments of lease liabilities1

 

-18.2

 

-16.5

Interest and other financing cost paid, net1

 

-30.8

 

-29.2

Free cashflow

 

658.6

 

613.0

1

See consolidated statement of cashflows.

“Free cashflow” is no substitute for figures shown in the consolidated income statement and the consolidated statement of cashflows, but it may give an indication of the Group’s capability to generate cash, pay back debt, finance acquisitions, buy back shares and pay dividends.