CHF149.40
CHF0.00 (0.00%)
End-of-day quote: 05/10/2024
SWX:TXGN

TX Group Annual Report

Year Year 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005 2004
Rev. Revenue
CHF922.00M CHF956.60M CHF933.97M CHF1.07B CHF1.01B CHF968.58M CHF1.00B CHF1.06B CHF1.11B CHF1.06B CHF997.22M CHF1.08B CHF718.37M CHF714.01M CHF860.60M CHF722.96M CHF647.09M CHF648.37M CHF564.76M
GM % Gross Margin %
37.78% 38.15% 35.43% 39.75% 43.16% 44.50% 43.46% 46.68% 45.22% 43.83% 44.38% 45.31% 44.75% 38.02% 43.46% 43.46% 45.05% 44.20% 43.08%
OM Operating Margin
2.72% 4.93% 0.58% 6.90% 11.32% 13.57% 10.60% 15.24% 14.24% 11.31% 13.78% 15.80% 17.26% 6.65% 17.78% 18.45% 18.28% 15.55% 10.85%
EPS Earnings Per Share
CHF0.00 CHF7.03 CHF3.76 CHF6.72 CHF-0.88 CHF4.10 CHF8.13 CHF13.82 CHF9.86 CHF30.27 CHF13.78 CHF10.60 CHF13.17 CHF13.11 CHF10.29 CHF4.93 CHF10.69 CHF9.77 CHF9.85 CHF7.95 CHF4.98
Div. Dividends
CHF4.50 CHF7.40 CHF0.00 CHF3.51 CHF4.50 CHF4.50 CHF4.50 CHF4.50 CHF4.50 CHF4.00 CHF4.50 CHF5.75 CHF4.00 CHF1.50 CHF3.00 CHF4.00 CHF3.00 CHF2.50 CHF1.50
PR % Payout Ratio %
119.68% 110.12% -0.00% 85.61% 55.35% 32.56% 45.64% 14.87% 32.66% 37.74% 34.17% 43.86% 38.87% 30.43% 28.06% 40.94% 30.46% 31.45% 30.12%
Sha. Shares
10.6m 10.59m 10.6m 10.59m 10.57m 10.59m 10.59m 10.6m 10.6m 10.6m 10.34m 10.34m 10.36m 10.44m 10.59m 10.6m 9.99m 10m 9.99m
OCF Operating Cash Flow
CHF110.10M CHF160.57M CHF128.14M CHF169.15M CHF187.75M CHF223.26M CHF178.61M CHF195.26M CHF201.69M CHF186.04M CHF251.95M CHF209.66M CHF209.29M CHF71.20M CHF135.70M CHF156.76M CHF116.30M CHF126.89M CHF99.27M
FCF Free Cash Flow
CHF58.10M CHF129.80M CHF109.35M CHF154.77M CHF171.14M CHF216.63M CHF173.40M CHF184.63M CHF196.89M CHF162.39M CHF169.04M CHF142.04M CHF184.02M CHF65.99M CHF116.34M CHF147.14M CHF110.45M CHF106.29M CHF67.82M
FCFS Free Cash Flow Per Share
CHF7.50 CHF12.26 CHF8.92 CHF13.71 CHF15.24 CHF20.02 CHF16.19 CHF17.12 CHF18.00 CHF15.17 CHF21.81 CHF15.70 CHF17.19 CHF5.70 CHF10.60 CHF14.34 CHF10.85 CHF10.46 CHF6.56