CHF118.00
CHF0.00 (0.00%)
End-of-day quote: 05/17/2024
SWX:SUN

Sulzer Ltd 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
CHF3.28B CHF3.18B CHF3.16B CHF2.97B CHF3.73B CHF3.36B CHF3.05B CHF2.88B CHF2.97B CHF3.21B CHF3.26B CHF3.34B CHF3.58B CHF3.18B CHF3.35B CHF3.71B CHF3.54B CHF2.80B CHF2.50B CHF2.07B
GM % Gross Margin %
33.05% 29.55% 30.01% 29.40% 30.07% 29.07% 30.72% 30.57% 30.63% 31.44% 30.73% 31.40% 30.64% 31.41% 30.04% 30.95% 29.28% 28.85% 27.15% 27.15%
OM Operating Margin
9.85% 5.33% 7.24% 6.38% 7.15% 5.60% 5.33% 6.22% 5.84% 8.20% 7.96% 9.81% 10.69% 12.67% 10.64% 12.77% 10.63% 9.51% 6.43% 4.38%
EPS Earnings Per Share
CHF0.00 CHF7.46 CHF6.19 CHF5.63 CHF5.73 CHF5.15 CHF6.88 CHF5.10 CHF3.10 CHF3.35 CHF5.58 CHF5.46 CHF8.98 CHF8.25 CHF8.91 CHF9.43 CHF9.52 CHF8.23 CHF5.47 CHF3.57 CHF2.08
Div. Dividends
CHF3.75 CHF3.50 CHF3.50 CHF4.00 CHF4.00 CHF3.50 CHF3.50 CHF3.50 CHF3.50 CHF3.50 CHF3.20 CHF3.20 CHF3.00 CHF3.00 CHF2.80 CHF2.80 CHF2.80 CHF2.30 CHF1.40 CHF0.90
PR % Payout Ratio %
50.27% 56.54% 62.17% 69.81% 77.67% 50.87% 68.63% 112.90% 104.48% 62.72% 58.61% 35.63% 36.36% 33.67% 29.69% 29.41% 34.02% 42.05% 39.22% 43.27%
Sha. Shares
33.81m 33.74m 33.73m 33.84m 34.02m 33.95m 34.04m 34.08m 34.08m 34.01m 33.98m 34.03m 33.8m 33.72m 33.57m 33.56m 336.43m 34.66m 35.67m 35.48m
OCF Operating Cash Flow
CHF362.20M CHF119.00M CHF364.80M CHF419.30M CHF319.60M CHF260.80M CHF183.70M CHF263.20M CHF222.80M CHF181.20M CHF320.10M CHF472.80M CHF188.60M CHF254.20M CHF488.00M CHF449.90M CHF261.30M CHF259.20M CHF162.80M CHF142.20M
FCF Free Cash Flow
CHF194.00M CHF49.30M CHF238.70M CHF270.70M CHF204.70M CHF173.90M CHF127.00M CHF200.50M CHF151.20M CHF98.00M CHF217.30M CHF347.90M CHF82.30M CHF149.50M CHF377.10M CHF339.10M CHF131.00M CHF153.90M CHF87.00M CHF121.80M
FCFS Free Cash Flow Per Share
CHF8.75 CHF1.45 CHF8.25 CHF9.24 CHF6.03 CHF5.15 CHF3.01 CHF5.52 CHF4.38 CHF2.25 CHF6.26 CHF10.14 CHF2.23 CHF4.05 CHF11.20 CHF9.92 CHF3.72 CHF4.31 CHF2.39 CHF3.25