CHF1204.50
CHF0.00 (0.00%)
End-of-day quote: 05/03/2024
SWX:PGHN

Partners Group Holding Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
Rev. Revenue
CHF1.87B CHF2.62B CHF1.41B CHF1.61B CHF1.32B CHF1.24B CHF972.82M CHF618.60M CHF573.79M CHF488.43M CHF455.01M CHF346.49M CHF376.20M CHF324.72M CHF327.92M CHF310.82M CHF201.19M
GM % Gross Margin %
68.06% 67.12% 69.45% 69.49% 71.52% 71.06% 67.36% 66.21% 67.94% 67.75% 68.67% 68.99% 72.47% 75.75% 78.66% 79.28% 78.06%
OM Operating Margin
60.67% 63.28% 62.91% 62.69% 65.41% 65.36% 60.55% 57.68% 58.72% 56.91% 58.07% 56.70% 64.36% 68.32% 71.37% 73.20% 70.95%
EPS Earnings Per Share
CHF0.00 CHF42.46 CHF39.09 CHF55.12 CHF30.36 CHF33.66 CHF28.65 CHF28.09 CHF20.92 CHF14.81 CHF12.75 CHF11.06 CHF10.24 CHF8.14 CHF11.43 CHF7.96 CHF8.05 CHF8.41 CHF5.15
Div. Dividends
CHF37.00 CHF33.00 CHF27.50 CHF25.50 CHF22.00 CHF19.00 CHF15.00 CHF10.50 CHF8.50 CHF7.25 CHF6.25 CHF5.50 CHF5.00 CHF4.50 CHF4.25 CHF4.25 CHF2.65
PR % Payout Ratio %
94.65% 59.87% 90.58% 75.76% 76.79% 67.64% 71.70% 70.90% 66.67% 65.55% 61.04% 67.57% 43.74% 56.53% 52.80% 50.54% 51.46%
Sha. Shares
25.91m 26.37m 26.35m 26.42m 26.49m 26.59m 26.52m 26.31m 26.18m 25.77m 25.48m 25.39m 24.75m 24.75m 24.73m 24.92m 25.51m
OCF Operating Cash Flow
CHF1.06B CHF701.80M CHF1.15B CHF960.80M CHF283.70M CHF781.10M CHF418.80M CHF276.47M CHF456.83M CHF-21.39M CHF300.29M CHF124.61M CHF260.91M CHF111.10M CHF285.47M CHF220.34M CHF128.85M
FCF Free Cash Flow
CHF998.60M CHF667.50M CHF1.14B CHF847.10M CHF239.80M CHF770.80M CHF394.21M CHF268.45M CHF449.03M CHF-29.55M CHF277.19M CHF110.26M CHF256.96M CHF108.34M CHF281.64M CHF217.40M CHF127.48M
FCFS Free Cash Flow Per Share
CHF37.99 CHF24.78 CHF42.76 CHF31.12 CHF8.52 CHF28.28 CHF15.20 CHF10.16 CHF17.32 CHF-1.24 CHF11.40 CHF4.12 CHF10.26 CHF4.30 CHF11.29 CHF8.60 CHF5.06