CHF113.00
+ CHF0.90 (0.80%)
End-of-day quote: 05/16/2024
SWX:PSPN

PSP Swiss Property Annual Report

Year Year 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue
CHF371.98M CHF413.89M CHF377.73M CHF349.15M CHF340.91M CHF313.91M CHF315.98M CHF370.96M CHF301.74M CHF368.78M CHF363.88M CHF341.83M CHF291.34M CHF269.74M CHF294.66M CHF307.02M CHF260.67M CHF274.90M CHF257.22M
GM % Gross Margin %
87.33% 76.61% 80.33% 83.79% 81.93% 84.30% 84.17% 72.08% 84.63% 70.67% 73.09% 76.03% 85.87% 87.21% 84.71% 79.14% 84.19% 84.95% 89.24%
OM Operating Margin
79.71% 70.39% 73.15% 77.25% 74.45% 76.26% 76.34% 64.91% 76.56% 64.42% 66.49% 68.18% 77.06% 78.10% 75.44% 69.68% 72.09% 75.15% 72.93%
EPS Earnings Per Share
CHF0.00 CHF7.40 CHF5.14 CHF4.82 CHF4.70 CHF4.69 CHF3.84 CHF3.89 CHF3.76 CHF3.52 CHF3.69 CHF3.79 CHF3.60 CHF3.47 CHF3.30 CHF2.70 CHF2.94 CHF2.63 CHF2.82 CHF2.71
Div. Dividends
CHF3.84 CHF3.80 CHF3.75 CHF3.65 CHF3.60 CHF3.50 CHF3.41 CHF3.35 CHF3.30 CHF3.25 CHF3.25 CHF3.20 CHF3.00 CHF2.80 CHF2.70 CHF2.50 CHF2.40 CHF2.20 CHF2.10
PR % Payout Ratio %
51.89% 73.93% 77.80% 77.66% 76.76% 91.15% 87.66% 89.10% 93.75% 88.08% 85.75% 88.89% 86.46% 84.85% 100.00% 85.03% 91.25% 78.01% 77.49%
Sha. Shares
45.87m 45.87m 45.87m 45.87m 45.87m 45.87m 45.87m 45.87m 45.87m 45.87m 45.87m 45.87m 43.42m 42.73m 42.21m 41.85m 42.45m 45.28m 45.21m
OCF Operating Cash Flow
CHF276.90M CHF316.44M CHF297.50M CHF209.77M CHF241.94M CHF207.66M CHF173.50M CHF205.38M CHF183.37M CHF226.00M CHF194.11M CHF140.29M CHF173.79M CHF152.70M CHF143.57M CHF161.16M CHF110.09M CHF136.83M CHF145.27M
FCF Free Cash Flow
CHF-75.05M CHF94.30M CHF192.45M CHF-281.19M CHF90.01M CHF126.43M CHF-76.13M CHF96.61M CHF106.40M CHF54.64M CHF194.01M CHF47.12M CHF74.39M CHF8.70M CHF143.49M CHF160.97M CHF109.83M CHF133.94M CHF145.08M
FCFS Free Cash Flow Per Share
CHF6.03 CHF6.90 CHF6.49 CHF4.57 CHF5.26 CHF4.51 CHF3.76 CHF4.48 CHF4.00 CHF4.93 CHF4.23 CHF3.13 CHF4.04 CHF3.60 CHF3.43 CHF3.80 CHF2.53 CHF2.94 CHF3.24