CHF199.40
+ CHF3.10 (1.55%)
End-of-day quote: 05/15/2024
SWX:DAE

Dätwyler Holding Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
CHF1.15B CHF1.15B CHF947.60M CHF1.01B CHF1.36B CHF1.36B CHF1.29B CHF1.22B CHF1.17B CHF1.21B CHF1.23B CHF1.03B CHF1.05B CHF1.32B CHF1.12B CHF1.29B CHF1.17B CHF995.70M CHF1.09B CHF1.05B
GM % Gross Margin %
20.86% 22.18% 26.13% 24.30% 24.10% 25.20% 25.53% 26.34% 24.80% 25.55% 24.32% 24.52% 25.63% 47.46% 50.78% 48.50% 48.71% 48.90% 50.93% 52.44%
OM Operating Margin
10.43% 12.95% 16.79% 14.59% 9.44% 12.45% 12.58% 11.97% 10.78% 11.02% 10.67% 10.14% 11.39% 9.51% 7.42% 9.40% 9.57% 6.90% 3.32% 4.35%
EPS Earnings Per Share
CHF0.00 CHF3.93 CHF6.16 CHF7.28 CHF6.99 CHF4.84 CHF7.12 CHF7.25 CHF7.04 CHF5.04 CHF6.05 CHF7.11 CHF5.84 CHF6.04 CHF6.18 CHF3.81 CHF6.91 CHF5.45 CHF4.83 CHF2.50 CHF1.54
Div. Dividends
CHF3.20 CHF3.20 CHF4.20 CHF3.20 CHF3.00 CHF3.00 CHF3.00 CHF2.20 CHF2.20 CHF2.14 CHF2.72 CHF2.52 CHF2.14 CHF2.14 CHF0.94 CHF1.75 CHF4.81 CHF1.70 CHF0.87 CHF0.53
PR % Payout Ratio %
81.42% 51.95% 57.69% 45.78% 61.98% 42.13% 41.38% 31.25% 43.65% 35.37% 38.26% 43.15% 35.43% 34.63% 24.67% 25.33% 88.26% 35.20% 34.80% 34.42%
Sha. Shares
17m 17m 17m 17m 17m 17m 17m 17m 16.45m 15.95m 15.93m 15.58m 15.47m 15.45m 15.43m 15.41m 15.4m 15.4m 15.4m 15.4m
OCF Operating Cash Flow
CHF194.90M CHF118.60M CHF183.50M CHF185.30M CHF174.80M CHF162.90M CHF112.70M CHF90.70M CHF172.50M CHF110.80M CHF166.30M CHF124.40M CHF149.60M CHF142.80M CHF148.30M CHF125.30M CHF144.70M CHF111.40M CHF119.80M CHF79.25M
FCF Free Cash Flow
CHF184.75M CHF18.40M CHF79.80M CHF105.60M CHF68.90M CHF13.30M CHF13.00M CHF39.40M CHF126.90M CHF180.70M CHF117.70M CHF49.40M CHF85.20M CHF25.30M CHF93.40M CHF55.70M CHF74.20M CHF37.90M CHF58.60M CHF25.10M
FCFS Free Cash Flow Per Share
CHF7.96 CHF1.08 CHF4.25 CHF5.65 CHF4.05 CHF0.78 CHF0.30 CHF0.58 CHF6.63 CHF2.04 CHF6.85 CHF2.84 CHF5.35 CHF6.99 CHF5.93 CHF3.35 CHF4.60 CHF2.47 CHF3.81 CHF1.65