CHF59.40
CHF0.00 (0.00%)
End-of-day quote: 05/18/2024
SWX:GURN

Gurit 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
CHF459.85M CHF499.45M CHF467.93M CHF578.81M CHF558.35M CHF410.62M CHF339.99M CHF351.98M CHF359.41M CHF335.80M CHF281.14M CHF351.02M CHF344.72M CHF311.58M CHF314.35M CHF456.21M CHF448.82M CHF381.30M CHF344.86M CHF578.78M
GM % Gross Margin %
16.26% 12.88% 18.17% 20.91% 21.70% 22.22% 25.80% 24.89% 51.77% 49.48% 46.47% 44.03% 45.79% 50.06% 43.98% 38.95% 35.96% 42.60% 46.36% 56.72%
OM Operating Margin
4.47% 2.25% 6.29% 11.33% 11.40% 10.84% 10.85% 11.14% 9.42% 4.29% 2.46% 7.67% 8.92% 8.71% 6.15% 5.56% -1.66% 6.44% -7.35% 4.65%
EPS Earnings Per Share
CHF0.00 CHF1.61 CHF0.66 CHF3.71 CHF10.03 CHF7.61 CHF4.96 CHF6.31 CHF6.57 CHF4.91 CHF2.38 CHF0.02 CHF6.32 CHF4.05 CHF4.36 CHF10.09 CHF3.66 CHF3.66 CHF3.99 CHF5.48 CHF2.77
Div. Dividends
CHF0.35 CHF0.00 CHF0.70 CHF3.00 CHF2.50 CHF2.00 CHF2.00 CHF2.00 CHF1.50 CHF0.85 CHF0.75 CHF1.50 CHF1.50 CHF1.50 CHF1.50 CHF1.30 CHF0.65 CHF1.30 CHF2.40 CHF2.40
PR % Payout Ratio %
21.74% 0.00% 18.87% 29.91% 32.85% 40.32% 31.70% 30.44% 30.55% 35.71% 3750.00% 23.73% 37.04% 34.40% 14.87% 35.52% 17.76% 32.58% 43.80% 86.64%
Sha. Shares
4.68m 4.68m 4.29m 4.29m 4.29m 4.29m 4.29m 4.3m 4.3m 4.3m 4.3m 4.3m 4.29m 4.28m 4.28m 4.28m 4.28m 4.19m 4.3m 4.6m
OCF Operating Cash Flow
CHF37.66M CHF16.24M CHF20.92M CHF70.20M CHF65.89M CHF19.37M CHF30.59M CHF37.92M CHF37.21M CHF7.62M CHF12.58M CHF48.32M CHF-2.47M CHF16.31M CHF56.22M CHF31.09M CHF-7.54M CHF18.76M CHF24.83M CHF46.57M
FCF Free Cash Flow
CHF9.19M CHF0.82M CHF-2.93M CHF44.80M CHF36.95M CHF-73.15M CHF18.90M CHF27.46M CHF20.51M CHF-0.64M CHF6.34M CHF42.30M CHF-12.60M CHF-6.44M CHF46.50M CHF23.23M CHF-49.42M CHF-12.19M CHF9.18M CHF17.79M
FCFS Free Cash Flow Per Share
CHF5.69 CHF0.18 CHF-0.63 CHF9.63 CHF8.83 CHF1.11 CHF4.04 CHF5.90 CHF4.42 CHF-0.26 CHF1.42 CHF9.27 CHF-2.37 CHF-2.33 CHF10.60 CHF5.26 CHF-11.53 CHF-2.70 CHF1.82 CHF3.58