Novartis
SWX:NOVN
CHF 123,26
CHF-1,56 (-1,25%)
123,26 CHF
CHF-1,56 (-1,25%)
End-of-day quote: 03/06/2026

Quick Analysis

CHF7,12
Earnings Per Share
CHF23,55
Revenue Per Share
75,97%
Gross Margin %
CHF238,18 B
Market Cap
CHF22,15 B
Long-Term Debt
Earnings Per Share
CHF7,12
Revenue Per Share
CHF23,55
Gross Margin %
75,97%
Market Cap
CHF238,18 B
Long-Term Debt
CHF22,15 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 CHF7,12 CHF7,08 CHF6,47 CHF6,12 CHF6,29 CHF5,78 CHF5,28 CHF5,15 CHF4,86 CHF4,75 CHF4,93 CHF5,23 CHF5,09 CHF5,25 CHF5,57 CHF5,11 CHF4,49 CHF4,08 CHF3,24 CHF3,15
Earnings Earnings CHF13,59B CHF13,98B CHF13,22B CHF12,97B CHF14,06B CHF13,04B CHF11,96B CHF11,90B CHF11,26B CHF11,28B CHF11,70B CHF12,54B CHF12,35B CHF12,71B CHF13,41B CHF11,70B CHF10,21B CHF9,24B CHF7,34B CHF7,40B
RPS Revenue Per Share CHF23,55 CHF23,09 CHF22,23 CHF23,85 CHF23,10 CHF21,56 CHF20,95 CHF22,46 CHF21,19 CHF20,44 CHF20,82 CHF24,18 CHF23,87 CHF23,41 CHF24,33 CHF22,11 CHF19,46 CHF18,31 CHF17,58 CHF15,77
Revenue Revenue CHF44,94B CHF45,60B CHF45,44B CHF50,55B CHF51,63B CHF48,66B CHF47,45B CHF51,90B CHF49,11B CHF48,52B CHF49,41B CHF58,00B CHF57,92B CHF56,67B CHF58,57B CHF50,62B CHF44,27B CHF41,46B CHF39,80B CHF37,02B
OCF Operating Cash Flow CHF15,18B CHF15,97B CHF14,46B CHF14,24B CHF15,07B CHF13,65B CHF13,63B CHF14,27B CHF12,62B CHF11,48B CHF11,90B CHF13,90B CHF13,17B CHF14,19B CHF14,31B CHF14,07B CHF12,19B CHF9,77B CHF9,21B CHF8,71B
FCF Free Cash Flow CHF11,12B CHF14,73B CHF12,95B CHF11,95B CHF13,28B CHF11,69B CHF12,88B CHF11,72B CHF10,43B CHF9,46B CHF9,03B CHF10,76B CHF9,95B CHF11,38B CHF12,50B CHF12,35B CHF10,30B CHF7,66B CHF6,66B CHF6,93B
OM Operating Margin 33,53% 31,55% 27,09% 24,81% 22,78% 24,42% 18,67% 19,36% 20,61% 18,40% 17,82% 20,68% 21,76% 23,83% 21,50% 24,91% 23,12% 22,14% 21,08% 21,88%
GM % Gross Margin % 75,97% 75,22% 74,24% 70,90% 70,81% 71,14% 70,37% 68,52% 69,09% 64,89% 65,46% 67,66% 68,63% 70,01% 68,72% 72,64% 72,87% 73,28% 72,77% 73,19%
FCFS Free Cash Flow Per Share CHF6,30 CHF6,23 CHF6,58 CHF5,39 CHF5,73 CHF5,03 CHF5,39 CHF5,37 CHF4,68 CHF3,97 CHF3,75 CHF4,43 CHF4,05 CHF4,77 CHF5,27 CHF5,42 CHF4,19 CHF3,32 CHF5,95 CHF2,83
LT Debt Long-Term Debt CHF22,15B CHF19,36B CHF18,44B CHF20,24B CHF22,90B CHF26,26B CHF20,35B CHF22,38B CHF23,14B CHF17,90B CHF16,33B CHF13,80B CHF11,24B CHF13,78B CHF13,86B CHF14,36B CHF8,68B CHF2,18B CHF677,00M CHF656,00M
Sha. Stocks 1.908,15M 1.975,09M 2.044,03M 2.119,61M 2.234,94M 2.256,82M 2.265,01M 2.311,17M 2.317,46M 2.374,06M 2.373,89M 2.398,63M 2.426,08M 2.420,62M 2.406,69M 2.289,45M 2.274,35M 2.264,85M 2.264,45M 2.348,23M
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