Semiannual Report 2025

Key Figure Comparison

Key Figures
Net sales by market region first half-year
Years

Net sales by market region first half-year

Five-Year Financial Summary

Net Sales

in CHF 1 000 (unless indicated otherwise)

1st half 2025

1st half 2024

1st half 2023

1st half 2022

1st half 2021

EMEA

216 261

199 621

201 855

193 940

195 392

Americas

279 998

219 212

193 397

173 238

143 319

Asia Pacific

65 252

54 699

53 111

49 243

46 015

Group

561 511

473 533

448 363

416 421

384 727

Growth in local currencies, in %1)

20.6%

9.7%

12.4%

9.1%

16.9%

Growth in CHF, in %

18.6%

5.6%

7.7%

8.2%

14.7%

1) Alternative Performance Measures are described here

Income Statement

in CHF 1 000 (unless indicated otherwise)

1st half 2025

1st half 2024

1st half 2023

1st half 2022

1st half 2021

Net sales

561 511

473 533

448 363

416 421

384 727

Earnings before interest, taxes, depreciation, and amortization (EBITDA)1)

147 114

110 652

102 242

95 628

91 842

Earnings before interest and taxes (EBIT)1)

128 091

93 045

84 744

76 688

75 615

Net income

101 258

77 179

64 975

61 264

63 679

EBIT margin, in %

22.8%

19.6%

18.9%

18.4%

19.7%

1) Alternative Performance Measures are described here

Cash Flow

in CHF 1 000 (unless indicated otherwise)

1st half 2025

1st half 2024

1st half 2023

1st half 2022

1st half 2021

Cash flow from operating activities

93 476

85 581

72 748

46 522

64 588

Free cash flow1)

92 827

69 785

79 619

81 696

52 109

Free cash flow (w/o term deposits)1)

52 827

69 785

54 619

21 696

52 109

Free cash flow, in % of net sales

16.5%

14.7%

17.8%

19.6%

13.5%

Free cash flow (w/o term deposits), in % of net sales

9.4%

14.7%

12.2%

5.2%

13.5%

1) Alternative Performance Measures are described here

Balance Sheet

in CHF 1 000 (unless indicated otherwise)

June 30, 2025

December 31, 2024

December 31, 2023

December 31, 2022

December 31, 2021

Total assets

754 289

763 685

661 989

671 983

642 671

Total liabilities

211 714

182 949

131 500

150 226

131 335

Total equity

542 575

580 736

530 489

521 757

511 336

Equity ratio, in %1)

71.9%

76.0%

80.1%

77.6%

79.6%

1) Alternative Performance Measures are described here