Geberit
SWX:GEBN
CHF 532,40
CHF-5,20 (-0,97%)
532,40 CHF
CHF-5,20 (-0,97%)
End-of-day quote: 03/27/2026

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

CHF18,04
Earnings Per Share
CHF95,93
Revenue Per Share
73,64%
Gross Margin %
CHF17,56 B
Market Cap
CHF1,13 B
Long-Term Debt
Earnings Per Share
CHF18,04
Revenue Per Share
CHF95,93
Gross Margin %
73,64%
Market Cap
CHF17,56 B
Long-Term Debt
CHF1,13 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 CHF18,04 CHF18,00 CHF18,35 CHF20,48 CHF21,34 CHF17,95 CHF17,97 CHF17,21 CHF16,43 CHF15,82 CHF13,20 CHF13,26 CHF11,58 CHF10,31 CHF9,82 CHF10,30 CHF10,13 CHF11,86 CHF10,02 CHF8,59
Earnings Earnings CHF594,78M CHF592,92M CHF611,06M CHF694,89M CHF750,31M CHF639,56M CHF647,10M CHF620,25M CHF602,16M CHF582,18M CHF487,34M CHF497,25M CHF435,29M CHF387,55M CHF378,56M CHF407,26M CHF396,49M CHF462,07M CHF397,99M CHF339,91M
RPS Revenue Per Share CHF0,00 CHF95,93 CHF93,67 CHF92,61 CHF99,97 CHF98,42 CHF83,81 CHF85,62 CHF85,47 CHF79,35 CHF76,33 CHF70,25 CHF64,12 CHF60,96 CHF58,17 CHF55,06 CHF48,05 CHF55,73 CHF63,02 CHF62,61 CHF55,18
Revenue Revenue CHF0,00M CHF3,16B CHF3,09B CHF3,08B CHF3,39B CHF3,46B CHF2,99B CHF3,08B CHF3,08B CHF2,91B CHF2,81B CHF2,59B CHF2,40B CHF2,29B CHF2,19B CHF2,12B CHF1,90B CHF2,18B CHF2,46B CHF2,49B CHF2,18B
OCF Operating Cash Flow CHF0,00M CHF797,58M CHF847,60M CHF857,90M CHF736,00M CHF998,90M CHF900,00M CHF834,00M CHF747,50M CHF640,40M CHF715,20M CHF612,10M CHF575,50M CHF559,90M CHF494,00M CHF493,10M CHF570,10M CHF459,20M CHF555,00M CHF458,00M CHF442,40M
FCF Free Cash Flow CHF0,00M CHF578,98M CHF613,00M CHF596,44M CHF561,60M CHF808,90M CHF753,20M CHF670,40M CHF593,70M CHF492,60M CHF576,10M CHF484,00M CHF470,70M CHF444,30M CHF391,00M CHF400,50M CHF493,80M CHF0,00M CHF0,00M CHF0,00M CHF0,00M
OM Operating Margin 0,00% 24,26% 24,73% 25,08% 22,39% 26,37% 26,08% 24,54% 22,97% 21,38% 22,79% 19,21% 27,61% 25,54% 23,78% 24,05% 25,59% 27,28% 25,86% 25,48% 26,56%
GM % Gross Margin % 0,00% 73,64% 72,85% 71,25% 68,32% 71,19% 73,59% 72,11% 71,00% 71,47% 72,41% 69,76% 71,08% 70,14% 69,23% 68,52% 69,85% 70,26% 66,11% 64,44% 65,51%
FCFS Free Cash Flow Per Share CHF0,00 CHF21,31 CHF19,74 CHF19,69 CHF16,84 CHF23,43 CHF20,96 CHF18,53 CHF16,07 CHF13,09 CHF15,64 CHF12,47 CHF12,54 CHF12,28 CHF10,70 CHF10,24 CHF12,42 CHF9,03 CHF10,27 CHF8,93 CHF9,01
LT Debt Long-Term Debt N/A CHF1,13B CHF1,09B CHF1,14B CHF811,50M CHF413,10M CHF711,90M CHF762,70M CHF683,10M CHF890,70M CHF966,70M CHF1,14B CHF6,60M CHF7,70M CHF10,90M CHF10,80M CHF70,10M CHF82,00M CHF112,10M CHF271,00M CHF308,40M
Sha. Stocks 32,96M 32,97M 32,94M 33,3M 33,93M 35,16M 35,63M 36,01M 36,04M 36,65M 36,8M 36,92M 37,5M 37,59M 37,59M 38,55M 39,54M 39,14M 38,96M 39,72M 39,57M
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