Compagnie Financière Richemon...
SWX:CFR
CHF 132.85
+ CHF0.90 (0.68%)
CHF 132.85
+ CHF0.90 (0.68%)
End-of-day quote: 05/07/2024

Compagnie Financière Richemont financials at a glance

The revenue of Compagnie Financière Richemont is reported as 20.6468 billion Switzerland Francs in the fiscal year 2024. The earnings were 6.63 Switzerland Francs per share in 2024, which was 77.9 higher than 2022. And about 5.21984 billion Switzerland Francs are reported as free cash flow in the financials of Compagnie Financière Richemont 2024. Dividends of 3.22 Switzerland Francs per share were paid to shareholders of Compagnie Financière Richemont stock SWX:CFR in fiscal 2024.

CHF19.95B
Revenue
CHF6.60
Earnings Per Share
68.74%
Gross Margin %
CHF3.63B
Free Cash Flow
Revenue
19,953.00
Earnings Per Share
6.60
Gross Margin %
68.74
Free Cash Flow
3,634.00

Financials

Year Year TTM 2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011 2010 2009 2008 2007 2006 2005
Rev. Revenue N/A CHF19.95B CHF19.18B CHF13.14B CHF14.24B CHF13.99B CHF10.98B CHF10.65B CHF11.08B CHF10.41B CHF10.65B CHF10.15B CHF8.87B CHF6.89B CHF5.18B CHF5.42B CHF5.30B CHF4.83B CHF4.31B CHF3.72B
GM % Gross Margin % 68.41% 68.74% 62.67% 59.78% 60.44% 61.75% 65.19% 63.67% 64.17% 66.01% 64.73% 64.20% 63.72% 63.76% 61.65% 63.07% 64.56% 63.68% 63.14% 61.45%
OM Operating Margin 24.49% 25.49% 17.86% 11.31% 10.98% 13.90% 17.03% 14.91% 18.77% 23.40% 24.21% 23.90% 23.12% 19.69% 16.29% 17.94% 21.23% 18.58% 16.95% 13.21%
EPS Earnings Per Share CHF4.46 CHF6.60 CHF3.71 CHF2.32 CHF1.74 CHF2.60 CHF2.43 CHF2.29 CHF2.87 CHF2.13 CHF3.69 CHF3.61 CHF2.77 CHF1.77 CHF1.08 CHF1.48 CHF1.39 CHF1.18 CHF1.01 CHF0.59
Div. Dividends N/A CHF2.57 CHF2.19 CHF1.83 CHF0.95 CHF1.77 CHF1.62 CHF1.65 CHF1.53 CHF1.54 CHF1.15 CHF1.00 CHF0.55 CHF0.36 CHF0.25 CHF0.20 CHF0.39 CHF0.63 CHF0.55 CHF0.50
PR % Payout Ratio % 0 38.94% 59.03% 78.88% 54.60% 68.08% 66.67% 72.05% 53.31% 72.30% 31.17% 27.70% 19.86% 20.34% 23.15% 13.51% 28.06% 53.39% 54.46% 84.75%
Sha. Shares N/AM 572.1M 571.06M 571.28M 565.08M 564.82M 564.56M 564.8M 564.6M 564.3M 562.9M 553.1M 549.9M 551.7M 553.9M 553.7M 1,122.11M 1,122.75M 1,112.05M 1,100.4M
OCF Operating Cash Flow N/A CHF4.49B CHF4.64B CHF3.22B CHF2.37B CHF2.03B CHF2.38B CHF1.62B CHF2.42B CHF1.70B CHF2.49B CHF1.57B CHF1.48B CHF1.49B CHF1.38B CHF1.02B CHF1.16B CHF1.10B CHF0.00M CHF0.00M
FCF Free Cash Flow N/A CHF3.63B CHF3.83B CHF2.76B CHF1.64B CHF1.22B CHF1.91B CHF1.04B CHF1.71B CHF1.10B CHF1.92B CHF920.00M CHF1.06B CHF1.21B CHF1.23B CHF714.00M CHF892.00M CHF791.00M CHF0.00M CHF0.00M
FCFS Free Cash Flow Per Share CHF6.37 CHF6.17 CHF6.65 CHF4.79 CHF2.89 CHF2.13 CHF3.38 CHF1.83 CHF2.22 CHF1.77 CHF3.26 CHF1.74 CHF1.84 CHF2.12 CHF2.17 CHF1.20 CHF1.54 CHF0.69 CHF0.64 CHF0.46