CHF90.60
CHF-0.85 (-0.93%)
End-of-day quote: 05/17/2024
SWX:BANB

Bachem Holding Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
CHF577.32M CHF531.74M CHF503.23M CHF402.00M CHF313.72M CHF282.50M CHF236.48M CHF208.60M CHF183.94M CHF170.69M CHF157.30M CHF145.81M CHF152.88M CHF181.85M CHF195.00M CHF198.32M CHF171.75M CHF153.66M CHF147.86M
GM % Gross Margin %
30.65% 32.21% 33.13% 32.07% 29.48% 29.46% 32.67% 33.79% 34.36% 34.95% 32.45% 29.59% 34.36% 49.87% 54.94% 55.37% 53.11% 52.12% 85.42%
OM Operating Margin
22.41% 23.93% 25.62% 24.05% 19.88% 19.40% 19.05% 18.45% 18.41% 17.25% 14.20% 10.19% 10.25% 27.98% 35.73% 36.53% 32.46% 30.69% 28.05%
EPS Earnings Per Share
CHF0.00 CHF1.50 CHF1.37 CHF8.09 CHF5.58 CHF3.91 CHF3.43 CHF3.13 CHF2.35 CHF2.15 CHF1.75 CHF1.13 CHF0.70 CHF2.22 CHF3.93 CHF4.38 CHF4.81 CHF3.54 CHF2.98 CHF2.45
Div. Dividends
CHF0.80 CHF0.75 CHF3.50 CHF3.25 CHF3.00 CHF2.75 CHF2.50 CHF2.25 CHF2.00 CHF1.75 CHF1.50 CHF1.50 CHF2.50 CHF3.00 CHF3.20 CHF3.00 CHF7.00 CHF1.50 CHF1.20
PR % Payout Ratio %
53.33% 54.74% 43.26% 58.24% 76.73% 80.17% 79.87% 95.74% 93.02% 100.00% 132.74% 214.29% 112.61% 76.34% 73.06% 62.37% 197.74% 50.34% 48.98%
Sha. Shares
74.97m 73.72m 73.73m 14m 13.99m 13.59m 13.55m 13.54m 13.52m 13.5m 13.49m 13.48m 13.47m 13.45m 13.44m 13.33m 13.22m 13.18m 13.17m
OCF Operating Cash Flow
CHF249.86M CHF92.65M CHF97.56M CHF115.04M CHF64.27M CHF25.78M CHF40.41M CHF61.43M CHF47.22M CHF49.23M CHF36.87M CHF24.61M CHF38.11M CHF42.85M CHF39.28M CHF78.07M CHF40.15M CHF27.42M CHF51.17M
FCF Free Cash Flow
CHF-16.05M CHF-45.81M CHF-19.27M CHF45.94M CHF33.68M CHF-12.23M CHF-8.76M CHF39.96M CHF33.41M CHF39.58M CHF27.08M CHF15.48M CHF21.94M CHF4.67M CHF-14.31M CHF44.07M CHF10.73M CHF7.38M CHF26.49M
FCFS Free Cash Flow Per Share
CHF-0.25 CHF-0.67 CHF-0.27 CHF3.28 CHF2.43 CHF-0.90 CHF-0.80 CHF2.66 CHF2.33 CHF2.74 CHF2.01 CHF0.86 CHF1.44 CHF0.18 CHF-1.10 CHF3.22 CHF0.71 CHF0.49 CHF1.86