Partners Group Holdi...
SWX:PGHN
CHF 805,00
+ CHF11,80 (1,49%)
805,00 CHF
+CHF11,80 (1,49%)
End-of-day quote: 03/23/2026

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

CHF48,45
Earnings Per Share
CHF99,42
Revenue Per Share
68,18%
Gross Margin %
CHF20,45 B
Market Cap
CHF1,33 B
Long-Term Debt
Earnings Per Share
CHF48,45
Revenue Per Share
CHF99,42
Gross Margin %
68,18%
Market Cap
CHF20,45 B
Long-Term Debt
CHF1,33 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 CHF48,45 CHF43,08 CHF38,55 CHF39,09 CHF55,12 CHF30,36 CHF33,66 CHF28,65 CHF28,09 CHF20,92 CHF14,81 CHF12,75 CHF11,06 CHF10,24 CHF8,14 CHF11,43 CHF7,96 CHF8,05 CHF8,41 CHF5,15
Earnings Earnings CHF1,25B CHF1,12B CHF1,00B CHF1,01B CHF1,45B CHF799,99M CHF889,30M CHF758,94M CHF746,91M CHF554,80M CHF389,65M CHF333,80M CHF285,02M CHF260,92M CHF206,67M CHF282,89M CHF197,01M CHF199,08M CHF209,58M CHF131,38M
RPS Revenue Per Share CHF0,00 CHF99,42 CHF82,47 CHF74,87 CHF72,25 CHF99,70 CHF53,59 CHF60,94 CHF50,06 CHF46,82 CHF36,69 CHF23,53 CHF21,93 CHF19,09 CHF17,54 CHF13,63 CHF15,19 CHF13,12 CHF13,26 CHF12,47 CHF8,44
Revenue Revenue CHF0,00M CHF2,56B CHF2,14B CHF1,95B CHF1,87B CHF2,63B CHF1,41B CHF1,61B CHF1,33B CHF1,25B CHF973,00M CHF619,00M CHF574,00M CHF492,00M CHF447,00M CHF346,00M CHF376,00M CHF324,72M CHF327,92M CHF310,82M CHF215,19M
OCF Operating Cash Flow CHF0,00M CHF1,19B CHF933,90M CHF643,10M CHF1,06B CHF701,80M CHF1,15B CHF960,80M CHF283,70M CHF781,15M CHF418,80M CHF276,47M CHF456,83M CHF-21,39M CHF288,65M CHF124,61M CHF260,91M CHF111,10M CHF285,47M CHF0,00M CHF0,00M
FCF Free Cash Flow CHF0,00M CHF1,19B CHF819,60M CHF1,07B CHF998,60M CHF667,50M CHF1,14B CHF847,10M CHF239,80M CHF770,80M CHF394,21M CHF268,45M CHF449,03M CHF-29,55M CHF277,19M CHF110,26M CHF256,96M CHF0,00M CHF0,00M CHF0,00M CHF0,00M
OM Operating Margin 0,00% 60,13% 61,70% 61,43% 60,67% 63,05% 62,91% 62,69% 65,41% 65,36% 60,55% 57,68% 58,72% 56,91% 58,07% 56,70% 64,36% 68,32% 71,37% 73,20% 70,95%
GM % Gross Margin % 0,00% 68,18% 68,97% 68,93% 68,06% 67,12% 69,45% 69,49% 71,52% 71,06% 67,36% 66,21% 67,94% 67,75% 68,67% 68,99% 72,47% 75,75% 78,66% 79,28% 78,06%
FCFS Free Cash Flow Per Share CHF0,00 CHF57,64 CHF30,51 CHF20,61 CHF38,16 CHF24,78 CHF42,76 CHF31,12 CHF8,52 CHF28,28 CHF15,20 CHF10,16 CHF17,32 CHF-1,24 CHF11,40 CHF4,12 CHF10,26 CHF4,30 CHF11,29 CHF8,60 CHF5,06
LT Debt Long-Term Debt N/A CHF1,33B CHF1,33B CHF830,10M CHF799,40M CHF799,10M CHF798,90M CHF798,60M CHF299,40M CHF299,20M N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A
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