Flughafen Zürich
SWX:FHZN
CHF 243,40
CHF-0,80 (-0,33%)
243,40 CHF
CHF-0,80 (-0,33%)
End-of-day quote: 03/23/2026

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

CHF11,28
Earnings Per Share
CHF44,34
Revenue Per Share
64,97%
Gross Margin %
CHF7,50 B
Market Cap
CHF1,54 B
Long-Term Debt
Earnings Per Share
CHF11,28
Revenue Per Share
CHF44,34
Gross Margin %
64,97%
Market Cap
CHF7,50 B
Long-Term Debt
CHF1,54 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 CHF11,28 CHF10,64 CHF9,91 CHF6,74 CHF-0,33 CHF-2,25 CHF10,07 CHF9,25 CHF8,20 CHF7,79 CHF7,02 CHF6,88 CHF6,63 CHF3,10 CHF5,56 CHF4,52 CHF3,76 CHF3,95 CHF4,12 CHF3,07
Earnings Earnings CHF346,30M CHF326,65M CHF304,24M CHF206,92M CHF-10,13M CHF-69,08M CHF309,15M CHF283,98M CHF251,74M CHF239,15M CHF215,51M CHF211,15M CHF203,41M CHF95,11M CHF170,64M CHF138,72M CHF115,36M CHF120,55M CHF126,40M CHF94,16M
RPS Revenue Per Share CHF0,00 CHF44,34 CHF43,20 CHF40,27 CHF33,34 CHF22,15 CHF20,33 CHF39,42 CHF37,55 CHF33,78 CHF32,99 CHF32,21 CHF31,39 CHF31,78 CHF30,93 CHF29,50 CHF28,12 CHF26,73 CHF28,02 CHF26,17 CHF24,03
Revenue Revenue CHF0,00M CHF1,36B CHF1,33B CHF1,24B CHF1,02B CHF680,00M CHF624,00M CHF1,21B CHF1,15B CHF1,04B CHF1,01B CHF989,00M CHF963,50M CHF975,09M CHF948,80M CHF905,40M CHF863,00M CHF820,20M CHF855,10M CHF802,87M CHF737,11M
OCF Operating Cash Flow CHF0,00M CHF687,70M CHF641,60M CHF681,00M CHF489,00M CHF231,70M CHF147,28M CHF511,74M CHF538,36M CHF529,70M CHF471,87M CHF456,20M CHF460,73M CHF458,99M CHF439,92M CHF438,90M CHF431,03M CHF350,93M CHF528,00M CHF0,00M CHF367,21M
FCF Free Cash Flow CHF0,00M CHF-105,35M CHF70,70M CHF243,00M CHF253,00M CHF25,40M CHF-251,24M CHF-261,42M CHF206,75M CHF296,17M CHF284,68M CHF231,70M CHF211,19M CHF235,12M CHF244,33M CHF106,10M CHF189,14M CHF0,00M CHF0,00M CHF0,00M CHF0,00M
OM Operating Margin 0,00% 33,75% 33,27% 31,58% 25,83% 2,75% -9,10% 33,22% 33,25% 32,21% 32,12% 32,12% 30,40% 30,75% 18,11% 31,23% 28,86% 26,22% 30,07% 28,80% 25,86%
GM % Gross Margin % 0,00% 64,97% 64,50% 63,72% 63,73% 56,00% 44,47% 60,77% 63,14% 64,39% 64,43% 64,01% 63,76% 63,22% 51,03% 63,24% 61,44% 58,90% 60,90% 58,01% 59,56%
FCFS Free Cash Flow Per Share CHF0,00 CHF4,28 CHF2,46 CHF8,24 CHF9,62 CHF2,05 CHF-3,77 CHF-5,12 CHF8,39 CHF10,60 CHF10,96 CHF9,24 CHF6,88 CHF7,66 CHF8,00 CHF3,46 CHF6,25 CHF5,57 CHF5,00 CHF9,84 CHF9,50
LT Debt Long-Term Debt N/A CHF1,54B CHF1,30B CHF1,09B CHF1,34B CHF1,76B CHF1,76B CHF855,69M CHF1,06B CHF1,05B CHF699,27M CHF948,34M CHF947,62M CHF995,62M CHF1,26B CHF1,07B CHF846,18M CHF911,37M CHF865,57M CHF950,56M CHF981,83M
Sha. Stocks 30,7M 30,7M 30,7M 30,7M 30,7M 30,7M 30,7M 30,7M 30,7M 30,7M 30,7M 30,7M 30,69M 30,68M 30,68M 30,69M 30,69M 30,68M 30,52M 30,68M 30,67M
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