OC Oerlikon
SWX:OERL
CHF 3,18
CHF-0,01 (-0,31%)
3,18 CHF
CHF-0,01 (-0,31%)
End-of-day quote: 04/07/2026

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

CHF0,06
Earnings Per Share
CHF4,80
Revenue Per Share
27,93%
Gross Margin %
CHF1,04 B
Market Cap
CHF0,67 B
Long-Term Debt
Earnings Per Share
CHF0,06
Revenue Per Share
CHF4,80
Gross Margin %
27,93%
Market Cap
CHF1,04 B
Long-Term Debt
CHF0,67 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 CHF0,06 CHF0,35 CHF0,48 CHF0,62 CHF0,63 CHF0,30 CHF0,40 CHF0,50 CHF0,42 CHF0,28 CHF0,54 CHF0,72 CHF0,76 CHF0,85 CHF0,69 CHF0,18 CHF-30,18 CHF8,42 CHF25,35 CHF22,61
Earnings Earnings CHF19,59M CHF113,89M CHF155,97M CHF201,12M CHF205,78M CHF97,75M CHF133,66M CHF169,41M CHF142,56M CHF95,00M CHF183,20M CHF243,76M CHF253,60M CHF276,30M CHF222,55M CHF58,10M CHF-386,91M CHF107,86M CHF331,83M CHF295,96M
RPS Revenue Per Share CHF0,00 CHF4,80 CHF7,29 CHF8,29 CHF8,97 CHF8,11 CHF6,93 CHF7,76 CHF7,70 CHF8,39 CHF6,87 CHF7,87 CHF9,50 CHF8,64 CHF8,94 CHF12,97 CHF11,16 CHF224,41 CHF370,80 CHF430,02 CHF175,02
Revenue Revenue CHF0,00M CHF1,57B CHF2,37B CHF2,69B CHF2,91B CHF2,65B CHF2,26B CHF2,59B CHF2,61B CHF2,85B CHF2,33B CHF2,67B CHF3,22B CHF2,88B CHF2,91B CHF4,18B CHF3,60B CHF2,88B CHF4,75B CHF5,63B CHF2,29B
OCF Operating Cash Flow CHF0,00M CHF153,63M CHF272,00M CHF199,00M CHF230,00M CHF324,00M CHF310,00M CHF152,00M CHF498,00M CHF478,00M CHF293,00M CHF289,00M CHF256,00M CHF367,00M CHF506,00M CHF435,00M CHF511,00M CHF90,00M CHF123,00M CHF682,00M CHF382,00M
FCF Free Cash Flow CHF0,00M CHF8,50M CHF149,00M CHF-179,00M CHF99,00M CHF193,00M CHF192,00M CHF-32,00M CHF266,00M CHF276,00M CHF141,00M CHF127,00M CHF88,00M CHF177,00M CHF304,00M CHF294,00M CHF361,00M CHF0,00M CHF0,00M CHF0,00M CHF0,00M
OM Operating Margin 0,00% 1,02% 6,28% 2,38% 4,92% 7,44% 0,80% 4,40% 7,63% 6,48% 4,63% 9,02% 10,55% 11,05% 11,01% 9,67% 1,72% -10,53% 4,60% 7,42% 10,06%
GM % Gross Margin % 0,00% 27,93% 27,28% 24,17% 25,13% 28,16% 24,71% 28,00% 30,36% 32,06% 27,11% 28,75% 28,64% 28,95% 28,46% 27,32% 22,58% 15,05% 23,40% 24,78% 33,59%
FCFS Free Cash Flow Per Share CHF0,00 CHF0,33 CHF0,46 CHF0,15 CHF0,30 CHF0,59 CHF0,59 CHF-0,09 CHF0,64 CHF0,71 CHF0,42 CHF0,37 CHF0,27 CHF0,54 CHF0,94 CHF0,84 CHF1,75 CHF-2,89 CHF-17,71 CHF25,13 CHF11,35
LT Debt Long-Term Debt N/A CHF668,00M CHF1,05B CHF1,31B CHF604,00M CHF611,00M CHF157,00M CHF154,00M CHF155,00M CHF455,00M CHF459,00M CHF453,00M CHF753,00M CHF299,00M CHF301,00M CHF830,00M CHF1,02B CHF7,00M CHF2,03B CHF1,73B CHF237,00M
Sha. Stocks 297,33M 326,42M 325,39M 324,93M 324,38M 326,64M 325,82M 334,16M 338,82M 339,44M 339,29M 339,26M 338,55M 333,69M 325,06M 322,53M 322,79M 12,82M 12,81M 13,09M 13,09M
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