Meyer Burger Technol...
OTCPK:MYBU.F
CHF 0,01
CHF0,00 (0,00%)
0,01 CHF
CHF0,00 (0,00%)
End-of-day quote: 02/02/2026

Quick Analysis
The traffic-light system summarizes key characteristics and shows the investment’s quality at a glance.

This stock is no longer listed on the stock exchange.

CHF-60,00
Earnings Per Share
CHF28,98
Revenue Per Share
0,00%
Gross Margin %
CHF0,00 B
Market Cap
CHF0,33 B
Long-Term Debt
Earnings Per Share
CHF-60,00
Revenue Per Share
CHF28,98
Gross Margin %
0,00%
Market Cap
CHF0,00 B
Long-Term Debt
CHF0,33 B

Financials

Year Year 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share CHF-60,00 CHF-60,00 CHF-15,00 CHF-30,00 CHF-30,00 CHF-78,45 CHF-13,43 CHF-40,50 CHF-197,55 CHF-1.402,50 CHF-1.125,00 CHF-1.695,00 CHF-459,53 CHF1,85k CHF1,64k CHF705,00 CHF942,00 CHF486,00 CHF141,75
Earnings Earnings CHF-279,60M CHF-279,60M CHF-69,90M CHF-103,50M CHF-97,20M CHF-69,04M CHF-10,74M CHF-32,40M CHF-140,26M CHF-168,30M CHF-135,00M CHF-186,45M CHF-27,57M CHF110,70M CHF98,10M CHF28,20M CHF37,68M CHF19,44M CHF5,67M
RPS Revenue Per Share CHF28,98 CHF28,98 CHF31,59 CHF11,57 CHF27,92 CHF297,73 CHF508,71 CHF591,58 CHF638,18 CHF2,70k CHF2,63k CHF1,84k CHF10,75k CHF21,92k CHF13,77k CHF10,52k CHF11,38k CHF5,20k CHF2,07k
Revenue Revenue CHF135,04M CHF135,04M CHF147,21M CHF39,91M CHF90,46M CHF262,00M CHF406,97M CHF473,26M CHF453,11M CHF323,57M CHF315,85M CHF202,66M CHF645,24M CHF1,32B CHF826,00M CHF420,94M CHF455,36M CHF207,97M CHF82,62M
OCF Operating Cash Flow CHF-152,37M CHF-152,37M CHF100,03M CHF-84,07M CHF-34,93M CHF-83,49M CHF23,37M CHF12,76M CHF2,58M CHF-51,86M CHF-152,81M CHF-130,42M CHF-168,01M CHF218,76M CHF347,50M CHF55,27M CHF22,94M CHF37,23M CHF0,00M
FCF Free Cash Flow CHF-385,10M CHF-309,52M CHF-21,97M CHF-194,04M CHF-55,65M CHF-90,39M CHF17,56M CHF5,33M CHF-5,60M CHF-66,15M CHF-171,14M CHF-142,32M CHF-227,41M CHF-101,30M CHF329,80M CHF0,00M CHF0,00M CHF0,00M CHF0,00M
OM Operating Margin 0,00% -142,47% -35,74% -200,37% -73,68% -23,12% -0,20% -0,95% -8,12% -34,56% -52,16% -95,64% -19,84% 14,17% 13,80% 7,09% 11,22% 11,81% 9,05%
GM % Gross Margin % 0,00% -10,73% 42,90% 63,04% 23,02% 33,30% 44,82% 42,53% 44,02% 44,69% 37,38% 42,99% 40,13% 44,33% 46,91% 36,76% 38,01% 40,30% 46,48%
FCFS Free Cash Flow Per Share CHF0,00 CHF-69,32 CHF-61,21 CHF-60,07 CHF-28,26 CHF-104,13 CHF-36,11 CHF7,83 CHF-13,15 CHF-162,03 CHF-1.509,46 CHF-1.570,58 CHF-3.840,95 CHF2,52k CHF5,74k CHF1,18k CHF98,68 CHF735,45 CHF308,14
LT Debt Long-Term Debt CHF326,19M CHF326,19M CHF198,15M CHF181,16M N/A CHF1,89M CHF55,30M CHF57,13M CHF118,70M CHF250,11M CHF247,76M CHF163,20M CHF132,98M CHF8,24M CHF0,31M CHF34,84M CHF6,66M CHF0,50M CHF0,48M
Sha. Stocks 4,66M 4,66M 4,66M 3,45M 3,24M 0,88M 0,8M 0,8M 0,71M 0,12M 0,12M 0,11M 0,06M 0,06M 0,06M 0,04M 0,04M 0,04M 0,04M
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