Georg Fischer
SWX:GF
CHF 39,80
+ CHF0,14 (0,35%)
39,80 CHF
+CHF0,14 (0,35%)
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.

CHF1,26
Earnings Per Share
CHF50,15
Revenue Per Share
42,04%
Gross Margin %
CHF3,26 B
Market Cap
CHF1,45 B
Long-Term Debt
Earnings Per Share
CHF1,26
Revenue Per Share
CHF50,15
Gross Margin %
42,04%
Market Cap
CHF3,26 B
Long-Term Debt
CHF1,45 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 CHF1,26 CHF2,61 CHF2,87 CHF3,37 CHF2,60 CHF1,58 CHF2,59 CHF3,45 CHF3,10 CHF2,65 CHF2,30 CHF2,25 CHF1,95 CHF1,85 CHF1,95 CHF1,20 CHF-1,28 CHF1,32 CHF2,90 CHF2,85
Earnings Earnings CHF103,26M CHF213,86M CHF235,05M CHF275,97M CHF212,76M CHF129,34M CHF212,04M CHF282,45M CHF253,83M CHF216,69M CHF188,26M CHF183,87M CHF159,30M CHF151,16M CHF159,08M CHF98,23M CHF-104,81M CHF106,08M CHF233,48M CHF230,91M
RPS Revenue Per Share CHF0,00 CHF50,15 CHF58,29 CHF49,16 CHF48,82 CHF45,48 CHF38,90 CHF45,44 CHF55,84 CHF50,68 CHF45,79 CHF44,47 CHF46,44 CHF46,10 CHF44,08 CHF44,59 CHF42,11 CHF35,49 CHF56,41 CHF56,68 CHF50,68
Revenue Revenue CHF0,00M CHF4,11B CHF4,78B CHF4,03B CHF4,00B CHF3,72B CHF3,18B CHF3,72B CHF4,57B CHF4,15B CHF3,74B CHF3,64B CHF3,80B CHF3,77B CHF3,60B CHF3,64B CHF3,45B CHF2,91B CHF4,53B CHF4,56B CHF4,11B
OCF Operating Cash Flow CHF0,00M CHF382,18M CHF393,00M CHF338,00M CHF326,00M CHF288,00M CHF342,00M CHF318,00M CHF397,00M CHF410,00M CHF400,00M CHF328,00M CHF248,00M CHF309,00M CHF229,00M CHF250,00M CHF243,00M CHF242,00M CHF197,00M CHF428,00M CHF317,00M
FCF Free Cash Flow CHF0,00M CHF186,50M CHF191,00M CHF-22,00M CHF161,00M CHF153,00M CHF197,00M CHF140,00M CHF163,00M CHF203,00M CHF226,00M CHF188,00M CHF96,00M CHF179,00M CHF97,00M CHF103,00M CHF150,00M CHF0,00M CHF0,00M CHF0,00M CHF0,00M
OM Operating Margin 0,00% 12,24% 8,86% 9,01% 9,88% 7,48% 4,81% 6,33% 8,24% 8,23% 7,93% 7,57% 6,94% 6,68% 5,85% 6,82% 4,96% -2,33% 3,92% 6,88% 8,08%
GM % Gross Margin % 0,00% 42,04% 41,57% 41,32% 40,62% 38,94% 38,02% 39,34% 37,99% 38,68% 39,49% 38,26% 36,77% 36,42% 35,75% 36,29% 37,15% 35,48% 34,14% 36,25% 37,20%
FCFS Free Cash Flow Per Share CHF0,00 CHF-0,02 CHF1,93 CHF1,62 CHF1,97 CHF1,77 CHF2,41 CHF1,62 CHF1,87 CHF2,43 CHF2,71 CHF1,92 CHF1,13 CHF2,12 CHF1,16 CHF1,22 CHF1,39 CHF1,12 CHF-0,62 CHF2,38 CHF2,32
LT Debt Long-Term Debt N/A CHF1,45B CHF2,37B CHF2,35B CHF651,00M CHF752,00M CHF865,00M CHF643,00M CHF618,00M CHF483,00M CHF619,00M CHF412,00M CHF553,00M CHF530,00M CHF521,00M CHF544,00M CHF596,00M CHF426,00M CHF287,00M CHF424,00M CHF450,00M
Sha. Stocks 81,75M 81,95M 81,94M 81,9M 81,89M 81,83M 81,86M 81,87M 81,87M 81,88M 81,77M 81,85M 81,72M 81,69M 81,71M 81,58M 81,86M 81,88M 80,36M 80,51M 81,02M
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