CHF263.00
+ CHF3.10 (1.19%)
End-of-day quote: 05/03/2024
SWX:SOON

Sonova Holding 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
CHF3.74B CHF3.36B CHF2.60B CHF2.92B CHF2.76B CHF2.65B CHF2.40B CHF2.07B CHF2.04B CHF1.95B CHF1.80B CHF1.62B CHF1.62B CHF1.50B CHF1.25B CHF1.20B CHF1.07B CHF866.68M CHF660.38M
GM % Gross Margin %
70.76% 73.23% 72.07% 71.85% 71.48% 70.61% 68.95% 66.39% 68.53% 68.69% 69.06% 68.27% 69.20% 70.56% 69.42% 69.85% 68.24% 66.64% 63.27%
OM Operating Margin
20.97% 23.32% 19.69% 19.40% 19.68% 18.71% 17.81% 18.72% 20.84% 20.74% 20.03% 18.30% 19.01% 27.19% 26.03% 27.88% 25.49% 24.88% 18.75%
EPS Earnings Per Share
CHF0.00 CHF11.14 CHF11.14 CHF10.76 CHF7.71 CHF7.39 CHF7.11 CHF6.36 CHF5.58 CHF5.10 CHF5.35 CHF5.07 CHF4.62 CHF3.77 CHF4.27 CHF5.55 CHF4.33 CHF4.50 CHF3.65 CHF2.57 CHF1.46
Div. Dividends
CHF4.60 CHF4.40 CHF3.20 CHF2.90 CHF2.90 CHF2.60 CHF2.30 CHF2.10 CHF2.05 CHF1.90 CHF1.60 CHF1.20 CHF1.20 CHF1.20 CHF1.00 CHF1.00 CHF0.75 CHF0.50 CHF0.30
PR % Payout Ratio %
41.29% 40.89% 41.50% 39.24% 40.79% 40.88% 41.22% 41.18% 38.32% 37.48% 34.63% 31.83% 28.10% 21.62% 23.09% 22.22% 20.55% 19.46% 20.55%
Sha. Shares
59.59m 61.09m 63.04m 62.43m 64.36m 65.33m 65.32m 65.42m 66.63m 67.16m 67.13m 66.53m 66.47m 65.89m 65.35m 66.22m 67.08m 66.33m 66.01m
OCF Operating Cash Flow
CHF783.90M CHF941.10M CHF764.40M CHF843.30M CHF533.20M CHF523.40M CHF522.39M CHF428.44M CHF459.46M CHF411.03M CHF387.05M CHF304.81M CHF344.64M CHF427.73M CHF281.77M CHF303.76M CHF279.61M CHF166.55M CHF105.05M
FCF Free Cash Flow
CHF629.60M CHF834.50M CHF675.20M CHF563.70M CHF415.30M CHF427.08M CHF424.80M CHF345.39M CHF370.50M CHF316.38M CHF318.60M CHF156.40M CHF221.54M CHF337.85M CHF205.38M CHF247.27M CHF252.55M CHF144.06M CHF85.47M
FCFS Free Cash Flow Per Share
CHF10.45 CHF13.40 CHF10.72 CHF11.25 CHF6.38 CHF6.54 CHF6.49 CHF5.24 CHF5.52 CHF4.71 CHF4.57 CHF3.37 CHF3.53 CHF5.16 CHF3.14 CHF3.70 CHF3.73 CHF2.11 CHF1.25