Chiffres clés en 2025

en millions de CHF

  20252024+/–
Net salesCHF millions778.9842.1– 7.5%
Change at stable exchange rates – 5.9%
Operating resultCHF millions21.634.3– 37.0%
Operating result-margin 2.8%4.1%– 1.3ppt
Adjusted Operating result 1CHF millions37.558.6– 36.0%
Adjusted Operating result-margin 4.8%7.0%– 2.2ppt
Net profitCHF millions3.813.7– 72.3%
Cash flow from operating activitiesCHF millions107.4135.8– 20.9%
Investments in tangible fixed assetsCHF millions53.285.5– 37.8%
Gearing ratio 60.5%61.3%– 0.8ppt
Earnings per registered share ACHF0.190.69– 72.0%
Dividend per registered share A 2CHF0.501.00– 50.0%
EmployeesHeadcount3 5323 622– 2.5%

1 Adjusted for closure costs and value adjustments, CHF 15.9 million 2025 and CHF 24.3 million in 2024 (see Alternative performance measures)
2 Proposal of the Board of Directors