SGS
SWX:SGSN
CHF 84,08
CHF0,00 (0,00%)
84,08 CHF
CHF0,00 (0,00%)
End-of-day quote: 04/03/2026

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

CHF3,66
Earnings Per Share
CHF35,18
Revenue Per Share
44,32%
Gross Margin %
CHF16,24 B
Market Cap
CHF3,51 B
Long-Term Debt
Earnings Per Share
CHF3,66
Revenue Per Share
CHF35,18
Gross Margin %
44,32%
Market Cap
CHF16,24 B
Long-Term Debt
CHF3,51 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 CHF3,66 CHF3,66 CHF3,48 CHF3,70 CHF3,58 CHF3,01 CHF3,53 CHF3,80 CHF3,66 CHF3,31 CHF3,28 CHF3,29 CHF3,39 CHF3,28 CHF2,84 CHF3,11 CHF3,08 CHF3,04 CHF2,67 CHF2,25
Earnings Earnings CHF706,82M CHF691,34M CHF641,40M CHF681,65M CHF670,50M CHF562,06M CHF666,50M CHF717,33M CHF690,97M CHF623,80M CHF623,66M CHF631,32M CHF648,41M CHF625,82M CHF537,04M CHF590,09M CHF577,50M CHF567,99M CHF509,22M CHF428,60M
RPS Revenue Per Share CHF35,18 CHF35,97 CHF35,93 CHF36,05 CHF34,20 CHF30,01 CHF34,96 CHF35,52 CHF33,63 CHF31,76 CHF29,98 CHF30,66 CHF30,32 CHF29,35 CHF25,37 CHF25,30 CHF25,13 CHF25,79 CHF22,92 CHF20,06
Revenue Revenue CHF6,79B CHF6,79B CHF6,62B CHF6,64B CHF6,41B CHF5,60B CHF6,60B CHF6,71B CHF6,35B CHF5,99B CHF5,70B CHF5,88B CHF5,80B CHF5,60B CHF4,80B CHF4,80B CHF4,71B CHF4,82B CHF4,37B CHF3,82B
OCF Operating Cash Flow CHF1,22B CHF1,22B CHF1,12B CHF1,03B CHF1,17B CHF1,19B CHF1,15B CHF1,07B CHF987,00M CHF1,01B CHF1,06B CHF912,00M CHF948,00M CHF800,00M CHF690,00M CHF783,00M CHF840,00M CHF838,00M CHF706,00M CHF552,00M
FCF Free Cash Flow CHF826,50M CHF748,00M CHF704,16M CHF507,00M CHF635,00M CHF758,00M CHF870,00M CHF796,00M CHF706,00M CHF738,00M CHF658,00M CHF607,00M CHF615,00M CHF423,00M CHF353,00M CHF533,00M CHF0,00M CHF0,00M CHF0,00M CHF0,00M
OM Operating Margin 14,17% 13,57% 13,71% 13,82% 15,16% 13,85% 13,42% 13,87% 14,51% 14,14% 14,86% 16,15% 15,75% 15,19% 16,59% 17,66% 16,96% 16,81% 16,31% 15,94%
GM % Gross Margin % 44,32% 43,46% 43,90% 43,86% 44,09% 43,17% 43,29% 43,19% 43,47% 43,56% 44,08% 44,69% 44,55% 44,75% 45,07% 46,58% 45,93% 46,58% 45,49% 38,73%
FCFS Free Cash Flow Per Share CHF5,01 CHF5,18 CHF4,48 CHF3,77 CHF4,45 CHF4,95 CHF4,55 CHF4,05 CHF3,65 CHF3,82 CHF3,45 CHF3,17 CHF3,09 CHF2,16 CHF1,82 CHF2,76 CHF3,30 CHF2,89 CHF2,21 CHF1,60
LT Debt Long-Term Debt CHF3,51B CHF2,70B CHF3,04B CHF2,83B CHF2,89B CHF2,39B CHF2,20B CHF2,11B CHF2,09B CHF1,72B CHF1,72B CHF1,67B CHF1,29B CHF1,30B CHF1,30B CHF552,00M CHF7,00M CHF9,00M CHF18,00M CHF3,00M
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