Temenos
SWX:TEMN
CHF 68,85
+ CHF0,95 (1,40%)
68,85 CHF
+CHF0,95 (1,40%)
End-of-day quote: 03/31/2026

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

CHF3,44
Earnings Per Share
CHF12,85
Revenue Per Share
62,75%
Gross Margin %
CHF4,64 B
Market Cap
CHF0,63 B
Long-Term Debt
Earnings Per Share
CHF3,44
Revenue Per Share
CHF12,85
Gross Margin %
62,75%
Market Cap
CHF4,64 B
Long-Term Debt
CHF0,63 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 CHF3,44 CHF3,55 CHF3,19 CHF2,82 CHF3,80 CHF3,43 CHF3,47 CHF2,96 CHF2,45 CHF2,07 CHF1,73 CHF1,44 CHF1,22 CHF0,88 CHF-0,41 CHF1,26 CHF1,11 CHF1,06 CHF1,00 CHF0,57
Earnings Earnings CHF231,58M CHF250,99M CHF231,24M CHF202,39M CHF272,00M CHF248,33M CHF246,20M CHF204,95M CHF169,22M CHF141,77M CHF114,15M CHF94,49M CHF82,58M CHF60,82M CHF-28,24M CHF89,54M CHF66,44M CHF61,55M CHF58,31M CHF32,87M
RPS Revenue Per Share CHF0,00 CHF12,85 CHF13,38 CHF13,80 CHF13,23 CHF13,51 CHF12,26 CHF13,70 CHF12,23 CHF10,65 CHF9,26 CHF8,22 CHF7,14 CHF6,91 CHF6,51 CHF6,87 CHF6,30 CHF6,19 CHF7,01 CHF5,66 CHF3,75
Revenue Revenue CHF0,00M CHF864,97M CHF946,15M CHF1,00B CHF949,63M CHF967,00M CHF887,36M CHF971,97M CHF846,61M CHF735,36M CHF634,04M CHF542,50M CHF468,70M CHF467,80M CHF450,21M CHF473,47M CHF447,95M CHF370,32M CHF406,94M CHF329,86M CHF216,27M
OCF Operating Cash Flow CHF0,00M CHF273,67M CHF329,26M CHF331,03M CHF308,08M CHF460,13M CHF382,96M CHF347,05M CHF344,17M CHF287,78M CHF247,27M CHF216,30M CHF181,89M CHF161,46M CHF86,98M CHF98,83M CHF123,03M CHF117,90M CHF53,55M CHF61,03M CHF26,24M
FCF Free Cash Flow CHF0,00M CHF216,18M CHF258,26M CHF215,00M CHF184,85M CHF358,06M CHF296,95M CHF268,42M CHF279,55M CHF281,99M CHF241,13M CHF160,88M CHF176,02M CHF158,13M CHF39,66M CHF50,47M CHF97,36M CHF0,00M CHF0,00M CHF0,00M CHF0,00M
OM Operating Margin 0,00% 22,73% 22,14% 19,93% 17,29% 24,77% 24,01% 24,22% 26,02% 24,03% 23,30% 17,84% 25,22% 19,99% 10,90% -0,43% 16,45% 21,67% 15,72% 18,95% 15,40%
GM % Gross Margin % 0,00% 62,75% 72,06% 70,89% 66,55% 66,49% 63,96% 72,79% 72,74% 71,65% 69,59% 70,79% 75,38% 70,03% 68,26% 70,65% 68,51% 68,67% 63,62% 53,29% 54,36%
FCFS Free Cash Flow Per Share CHF0,00 CHF3,22 CHF3,59 CHF3,37 CHF2,69 CHF4,99 CHF4,12 CHF3,81 CHF4,03 CHF3,24 CHF2,78 CHF2,45 CHF1,94 CHF1,62 CHF0,51 CHF0,73 CHF1,50 CHF1,51 CHF0,41 CHF0,59 CHF0,08
LT Debt Long-Term Debt N/A CHF628,08M CHF408,60M CHF548,55M CHF609,91M CHF719,09M CHF924,63M CHF1,04B CHF706,28M CHF434,30M CHF269,18M CHF445,44M CHF279,23M CHF201,46M CHF203,56M CHF242,32M CHF87,56M CHF236,53M CHF172,51M CHF115,56M CHF103,67M
Sha. Stocks 67,46M 67,32M 70,7M 72,49M 71,77M 71,58M 72,4M 70,95M 69,24M 69,07M 68,49M 65,98M 65,62M 67,69M 69,11M 68,88M 71,06M 59,86M 58,07M 58,31M 57,66M
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