CHF316.50
CHF-3.50 (-1.11%)
End-of-day quote: 05/16/2024
SWX:COTN

Comet 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
CHF397.45M CHF586.40M CHF513.72M CHF395.82M CHF371.61M CHF436.36M CHF443.37M CHF332.44M CHF282.32M CHF287.90M CHF249.63M CHF214.40M CHF216.97M CHF217.40M CHF150.75M CHF222.56M CHF171.12M CHF96.21M CHF90.84M CHF80.69M
GM % Gross Margin %
40.99% 44.62% 43.37% 39.81% 38.44% 39.71% 40.80% 40.61% 38.15% 38.69% 39.11% 38.73% 37.06% 37.52% 32.15% 37.09% 33.94% 40.47% 39.20% 41.31%
OM Operating Margin
6.28% 16.88% 16.37% 8.93% 5.37% 7.21% 11.44% 10.97% 9.55% 10.30% 10.04% 5.80% 6.73% 7.50% -4.45% 4.93% 5.00% 2.83% 10.14% 6.73%
EPS Earnings Per Share
CHF0.00 CHF1.98 CHF10.05 CHF8.68 CHF3.14 CHF1.55 CHF3.13 CHF4.58 CHF3.53 CHF2.21 CHF3.41 CHF2.13 CHF0.79 CHF1.32 CHF0.99 CHF-1.00 CHF1.10 CHF1.66 CHF0.41 CHF1.25 CHF0.68
Div. Dividends
CHF1.00 CHF3.70 CHF3.50 CHF1.30 CHF1.00 CHF1.20 CHF1.50 CHF1.20 CHF1.10 CHF1.10 CHF0.80 CHF0.40 CHF0.40 CHF0.35 CHF0.05 CHF0.30 CHF0.30 CHF0.20 CHF0.30 CHF0.20
PR % Payout Ratio %
50.51% 36.82% 40.32% 41.40% 64.52% 38.34% 32.75% 33.99% 49.77% 32.26% 37.56% 50.63% 30.30% 35.35% -5.00% 27.27% 18.07% 48.78% 24.00% 29.41%
Sha. Shares
7.77m 7.77m 7.77m 7.77m 7.76m 7.76m 7.75m 7.75m 7.74m 7.72m 7.7m 7.44m 7.63m 7.57m 7.57m 7.51m 7.47m 6m 5.94m 5.86m
OCF Operating Cash Flow
CHF22.26M CHF64.41M CHF70.49M CHF57.05M CHF48.69M CHF27.73M CHF38.35M CHF33.18M CHF35.67M CHF30.56M CHF17.38M CHF22.61M CHF28.17M CHF19.18M CHF10.91M CHF19.20M CHF0.48M CHF8.19M CHF11.78M CHF3.87M
FCF Free Cash Flow
CHF-7.80M CHF41.65M CHF60.50M CHF44.41M CHF32.27M CHF-3.53M CHF-1.87M CHF13.52M CHF24.30M CHF18.50M CHF12.51M CHF17.44M CHF21.85M CHF14.30M CHF8.63M CHF15.92M CHF-7.20M CHF-0.58M CHF4.52M CHF0.64M
FCFS Free Cash Flow Per Share
CHF-0.49 CHF5.36 CHF7.60 CHF5.60 CHF3.87 CHF0.10 CHF-0.41 CHF1.75 CHF2.82 CHF2.45 CHF1.36 CHF2.24 CHF2.76 CHF1.88 CHF0.76 CHF1.86 CHF-1.26 CHF-0.28 CHF0.50 CHF-0.24