CHF439.00
CHF0.00 (0.00%)
End-of-day quote: 05/04/2024
SWX:ZURN

Zurich Insurance 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
CHF42.04B CHF70.05B CHF58.94B CHF72.09B CHF47.21B CHF64.05B CHF67.34B CHF60.56B CHF72.83B CHF72.05B CHF70.45B CHF52.98B CHF67.82B CHF70.12B CHF32.33B CHF55.17B CHF65.05B CHF67.19B CHF61.13B
GM % Gross Margin %
36.51% 23.94% 23.31% 20.55% 28.17% 20.04% 19.77% 20.51% 21.34% 21.31% 20.91% 25.65% 19.69% 18.82% 30.85% 29.84% 23.81% 20.23% 16.14%
OM Operating Margin
15.90% 11.38% 9.73% 9.43% 11.73% 8.78% 8.52% 6.22% 9.41% 9.47% 8.70% 10.73% 8.45% 8.97% 10.30% 14.86% 11.57% 8.80% 6.45%
EPS Earnings Per Share
CHF0.00 CHF31.12 CHF29.36 CHF31.68 CHF23.98 CHF27.51 CHF24.28 CHF19.58 CHF21.37 CHF11.99 CHF24.18 CHF24.52 CHF24.66 CHF23.70 CHF22.67 CHF23.67 CHF27.87 CHF36.44 CHF35.29 CHF23.31 CHF25.91
Div. Dividends
CHF22.08 CHF20.72 CHF20.00 CHF20.00 CHF19.03 CHF18.00 CHF17.00 CHF17.00 CHF17.00 CHF17.00 CHF17.00 CHF17.00 CHF17.00 CHF16.00 CHF11.00 CHF15.00 CHF11.00 CHF7.00 CHF4.00
PR % Payout Ratio %
75.20% 65.40% 83.40% 72.70% 78.38% 91.93% 79.55% 141.78% 70.31% 69.33% 68.94% 71.73% 74.99% 67.60% 39.47% 41.16% 31.17% 30.03% 15.44%
Sha. Shares
147.53m 148.29m 148.5m 148.06m 147.27m 150.18m 149.4m 149.16m 148.34m 147.58m 146.95m 146.01m 145.19m 144.2m 136.9m 139.71m 144.59m 143.81m 143.71m
OCF Operating Cash Flow
CHF5.08B CHF3.17B CHF5.70B CHF4.88B CHF4.39B CHF5.21B CHF1.47B CHF5.22B CHF5.86B CHF1.99B CHF2.87B CHF3.89B CHF1.54B CHF-1346.00M CHF7.35B CHF-1580.00M CHF640.00M CHF2.47B CHF10.94B
FCF Free Cash Flow
CHF4.15B CHF2.44B CHF4.71B CHF4.13B CHF3.24B CHF4.38B CHF758.00M CHF4.42B CHF4.15B CHF1.05B CHF2.16B CHF3.69B CHF1.36B CHF-1705.00M CHF6.91B CHF-1918.00M CHF360.00M CHF2.13B CHF0.00M
FCFS Free Cash Flow Per Share
CHF30.36 CHF17.43 CHF34.72 CHF27.91 CHF21.86 CHF31.18 CHF5.08 CHF30.51 CHF30.26 CHF7.88 CHF18.02 CHF25.31 CHF9.32 CHF-12.15 CHF50.06 CHF-13.76 CHF2.50 CHF14.81 CHF75.93