Lonza Group
SWX:LONN
CHF 476,70
+ CHF9,30 (1,99%)
476,70 CHF
+CHF9,30 (1,99%)
End-of-day quote: 03/24/2026

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

CHF15,03
Earnings Per Share
CHF93,25
Revenue Per Share
35,97%
Gross Margin %
CHF33,48 B
Market Cap
CHF3,88 B
Long-Term Debt
Earnings Per Share
CHF15,03
Revenue Per Share
CHF93,25
Gross Margin %
35,97%
Market Cap
CHF33,48 B
Long-Term Debt
CHF3,88 B

Financials

Year Year 2025 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006
EPS Earnings Per Share CHF15,03 CHF15,01 CHF12,39 CHF14,71 CHF12,63 CHF14,92 CHF13,59 CHF11,98 CHF11,74 CHF8,38 CHF6,76 CHF6,76 CHF4,97 CHF4,81 CHF4,34 CHF5,53 CHF5,51 CHF6,38 CHF6,25 CHF4,30
Earnings Earnings CHF1,05B CHF1,06B CHF893,57M CHF1,09B CHF937,02M CHF1,11B CHF1,01B CHF889,52M CHF871,58M CHF442,38M CHF353,41M CHF351,59M CHF258,34M CHF249,74M CHF223,99M CHF290,21M CHF287,79M CHF304,90M CHF297,31M CHF203,61M
RPS Revenue Per Share CHF93,25 CHF93,06 CHF93,14 CHF83,78 CHF72,91 CHF83,27 CHF79,69 CHF74,64 CHF68,76 CHF78,27 CHF72,69 CHF69,99 CHF68,95 CHF75,60 CHF52,16 CHF51,07 CHF51,50 CHF61,46 CHF60,33 CHF61,54
Revenue Revenue CHF6,53B CHF6,57B CHF6,72B CHF6,22B CHF5,41B CHF6,19B CHF5,92B CHF5,54B CHF5,11B CHF4,13B CHF3,80B CHF3,64B CHF3,58B CHF3,93B CHF2,69B CHF2,68B CHF2,69B CHF2,94B CHF2,87B CHF2,91B
OCF Operating Cash Flow CHF1,88B CHF1,27B CHF1,39B CHF1,02B CHF1,22B CHF1,13B CHF986,00M CHF1,08B CHF863,00M CHF752,00M CHF741,00M CHF483,00M CHF522,00M CHF710,00M CHF448,00M CHF502,00M CHF422,00M CHF175,00M CHF644,00M CHF425,00M
FCF Free Cash Flow CHF175,11M CHF-143,00M CHF-428,73M CHF-852,00M CHF-124,00M CHF157,00M CHF200,00M CHF507,00M CHF412,00M CHF386,00M CHF477,00M CHF303,00M CHF312,00M CHF400,00M CHF127,00M CHF336,00M CHF0,00M CHF0,00M CHF0,00M CHF0,00M
OM Operating Margin 21,16% 18,42% 20,38% 22,29% 15,64% 21,52% 18,29% 18,22% 18,05% 14,93% 13,09% 12,25% 11,41% 8,87% 11,40% 13,17% 14,10% 16,28% 14,01% 12,78%
GM % Gross Margin % 35,97% 36,67% 35,77% 39,18% 39,01% 41,33% 38,68% 39,32% 39,09% 35,21% 30,50% 29,92% 26,65% 25,76% 26,45% 26,53% 25,13% 28,57% 28,22% 24,68%
FCFS Free Cash Flow Per Share CHF-1,58 CHF-2,78 CHF-4,20 CHF-12,14 CHF-2,20 CHF1,88 CHF2,66 CHF6,80 CHF5,54 CHF7,35 CHF9,13 CHF5,83 CHF5,99 CHF7,73 CHF-0,87 CHF3,89 CHF-1,89 CHF-9,73 CHF0,74 CHF1,14
LT Debt Long-Term Debt CHF3,88B CHF4,35B CHF2,61B CHF1,55B CHF2,23B CHF2,78B CHF2,77B CHF3,61B CHF3,72B CHF1,57B CHF1,41B CHF1,69B CHF2,24B CHF2,43B CHF2,73B CHF847,00M CHF817,00M CHF884,00M CHF1,35B CHF907,00M
Sha. Stocks 70,04M 70,64M 72,12M 74,28M 74,19M 74,28M 74,29M 74,25M 74,24M 52,79M 52,28M 52,01M 51,98M 51,92M 51,61M 52,48M 52,23M 47,79M 47,57M 47,35M
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