Suedzucker AG 0G7B

Cash Flow
20202021202220232024
Operating Cash Flow Growth-YOY-40.79209.60-0.62-49.01340.66
Free Cash Flow Growth-YOY---25.42--
Cap Ex as a % of Sales-5.03%-4.27%-4.37%-4.21%-5.31%
Free Cash Flow/Sales-2.70%2.93%1.92%-1.64%5.12%
Free Cash Flow/Net Income1.66-2.091.88-0.380.89
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