Clariant
SWX:CLN
CHF 7,87
+ CHF0,14 (1,81%)
7,87 CHF
+CHF0,14 (1,81%)
End-of-day quote: 03/30/2026

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

CHF0,75
Earnings Per Share
CHF12,65
Revenue Per Share
29,55%
Gross Margin %
CHF2,59 B
Market Cap
CHF1,42 B
Long-Term Debt
Earnings Per Share
CHF0,75
Revenue Per Share
CHF12,65
Gross Margin %
29,55%
Market Cap
CHF2,59 B
Long-Term Debt
CHF1,42 B

Financials

Year Year 2026 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share CHF-0,06 CHF0,75 CHF0,88 CHF1,25 CHF0,93 CHF0,65 CHF0,87 CHF1,50 CHF1,47 CHF1,12 CHF1,01 CHF1,12 CHF1,36 CHF1,00 CHF1,27 CHF1,71 CHF0,37 CHF1,17 CHF1,59 CHF1,48
Earnings Earnings CHF-19,73M CHF246,22M CHF289,39M CHF411,28M CHF306,08M CHF214,21M CHF286,53M CHF494,54M CHF484,07M CHF362,94M CHF325,97M CHF358,23M CHF433,47M CHF279,68M CHF359,58M CHF378,18M CHF83,58M CHF264,81M CHF359,93M CHF335,44M
RPS Revenue Per Share CHF0,00 CHF11,90 CHF12,65 CHF13,31 CHF15,80 CHF13,28 CHF11,71 CHF13,36 CHF20,09 CHF19,37 CHF18,04 CHF17,99 CHF19,12 CHF19,06 CHF21,59 CHF26,03 CHF32,19 CHF29,28 CHF35,66 CHF37,69 CHF35,74
Revenue Revenue CHF0,00M CHF3,92B CHF4,15B CHF4,38B CHF5,20B CHF4,37B CHF3,86B CHF4,40B CHF6,62B CHF6,38B CHF5,85B CHF5,81B CHF6,12B CHF6,08B CHF6,04B CHF7,37B CHF7,12B CHF6,61B CHF8,07B CHF8,53B CHF8,10B
OCF Operating Cash Flow CHF0,00M CHF527,08M CHF418,00M CHF421,00M CHF502,00M CHF363,00M CHF369,00M CHF509,00M CHF530,00M CHF428,00M CHF646,00M CHF502,00M CHF334,00M CHF301,00M CHF468,00M CHF206,00M CHF642,00M CHF757,00M CHF391,00M CHF540,00M CHF284,00M
FCF Free Cash Flow CHF0,00M CHF312,00M CHF209,00M CHF217,67M CHF293,00M CHF6,00M CHF81,00M CHF220,00M CHF273,00M CHF149,00M CHF349,00M CHF128,00M CHF24,00M CHF9,00M CHF157,00M CHF-164,00M CHF418,00M CHF0,00M CHF0,00M CHF0,00M CHF0,00M
OM Operating Margin 0,00% 0,00% 8,69% 9,66% 11,50% 10,34% 9,43% 4,14% 7,77% 8,66% 8,81% 8,89% 8,34% 8,16% 8,25% 10,84% 9,48% 3,70% 6,11% 5,88% 6,88%
GM % Gross Margin % 0,00% 0,00% 29,55% 27,42% 28,72% 29,78% 31,19% 31,46% 31,15% 29,98% 30,75% 30,77% 28,97% 28,70% 28,98% 28,50% 27,91% 23,54% 28,67% 29,16% 30,69%
FCFS Free Cash Flow Per Share CHF0,00 CHF0,00 CHF0,64 CHF0,65 CHF0,88 CHF0,01 CHF0,22 CHF0,67 CHF0,83 CHF0,46 CHF0,96 CHF0,32 CHF0,03 CHF-0,06 CHF0,42 CHF-0,26 CHF1,82 CHF2,60 CHF0,44 CHF0,97 CHF-0,15
LT Debt Long-Term Debt N/A CHF1,42B CHF1,42B CHF765,00M CHF870,00M CHF958,00M CHF1,42B CHF1,49B CHF1,69B CHF1,73B CHF1,91B CHF1,86B CHF1,76B CHF1,83B CHF2,44B CHF1,84B CHF1,30B CHF1,54B CHF1,28B CHF1,25B CHF1,38B
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