Key Figures

Key Figures (in CHF 1000)
Year202120202019
Net sales279 242248 352273 828
Operating profit (EBIT)43 79623 25932 008
In % of net sales15.7%9.4%11.7%
Net profit for the period31 7088 23220 031
Cash flow from operating activities32 51534 80623 785
Cash flow from investing activities-9 795-10 516-13 074
Free cash flow22 72024 29010 711
Total assets186 738187 631189 829
Net debt / (net cash position)-17 185-21 866-36 832
Equity107 39990 23491 210
In % of total assets57.5%48.1%48.0%
Dividend per share*CHF 3.30CHF 1.50CHF 3.00
Number of FTE (full time equivalents)1 2421 1891 414

* Board of Directors' proposal to the Annual General Meeting in 2022 (distribution from capital contribution reserves)