SGS SA
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Cashflow-Rechnung

Cashflow-Rechnung
SGS SA

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Cashflow-Rechnung
Währung: CHF
Dec-2003 Jun-2004 Dec-2004 Jun-2005 Dec-2005 Jun-2006 Dec-2006 Jun-2007 Dec-2007 Jun-2008 Dec-2008 Jun-2009 Dec-2009 Jun-2010 Dec-2010 Jun-2011 Dec-2011 Jun-2012 Dec-2012 Jun-2013 Dec-2013 Jun-2014 Dec-2014 Jun-2015 Dec-2015 Jun-2016 Dec-2016 Jun-2017 Dec-2017 Jun-2018 Dec-2018 Jun-2019 Dec-2019 Jun-2020 Dec-2020 Jun-2021 Dec-2021 Jun-2022 Dec-2022 Jun-2023 Dec-2023 Jun-2024 Dec-2024 Jun-2025 Dec-2025
Operativer Cashflow
Nettogewinn
227
330
279
283
371
412
443
462
500
674
714
593
591
606
614
591
561
554
590
612
638
626
666
624
584
630
586
602
664
667
690
793
702
480
505
618
655
659
630
627
597
593
625
676
717
Abschreibungen
106
0
131
0
140
0
172
0
195
0
214
0
223
0
225
0
225
0
268
0
292
0
298
0
295
0
305
0
309
0
316
0
487
0
449
0
497
0
503
0
487
0
471
0
466
Aktienbasierte Vergütung
0
0
0
0
0
0
0
0
0
0
17
0
13
0
2
9
15
9
14
13
5
4
10
0
9
0
16
0
17
0
13
0
17
0
17
25
12
13
12
14
12
9
11
12
14
Sonstige nicht zahlungswirksame Posten
62
133
76
150
87
271
112
320
176
264
69
449
170
475
192
411
208
483
225
521
260
538
261
461
143
543
255
563
256
575
238
565
269
0
299
0
331
0
309
0
337
0
328
0
291
Gezahlte Steuern
39
54
72
84
107
115
144
175
177
21
195
402
217
210
215
197
220
222
210
206
213
202
204
217
223
209
207
230
241
262
265
273
306
283
253
278
270
257
250
237
243
236
228
235
252
Gezahlte Zinsen
9
0
7
0
11
0
12
0
9
6
15
18
16
14
15
22
21
33
46
46
46
48
43
49
55
59
58
66
56
55
60
71
87
72
63
60
66
60
64
65
82
91
98
88
75
Veränderung des Working Capital
(70)
(125)
(61)
(7)
(187)
(198)
(175)
(214)
(165)
(159)
(159)
(235)
(144)
(253)
(248)
(251)
(304)
(331)
(283)
(263)
(242)
(272)
(313)
(137)
(63)
(144)
(132)
(188)
(242)
(268)
(170)
(259)
(309)
1.036
(67)
497
(314)
431
(412)
509
(298)
558
(200)
573
(251)
Cashflow aus operativer Tätigkeit
325
N/A
338
+4%
425
+26%
426
+0%
411
-4%
485
+18%
552
+14%
568
+3%
706
+24%
779
+10%
838
+8%
807
-4%
840
+4%
828
-1%
783
-5%
751
-4%
690
-8%
706
+2%
800
+13%
870
+9%
948
+9%
892
-6%
912
+2%
948
+4%
959
+1%
1.029
+7%
1.014
-1%
977
-4%
987
+1%
974
-1%
1.074
+10%
1.099
+2%
1.149
+5%
1.221
+6%
1.186
-3%
1.115
-6%
1.169
+5%
1.090
-7%
1.030
-6%
1.136
+10%
1.123
-1%
1.151
+2%
1.224
+6%
1.249
+2%
1.223
-2%
Investitions-Cashflow
Investitionsausgaben
(171)
(163)
(201)
(217)
(205)
(204)
(248)
(241)
(285)
(271)
(290)
(254)
(221)
(226)
(261)
(270)
(345)
(379)
(387)
(373)
(357)
(317)
(305)
(292)
(301)
(302)
(289)
(284)
(308)
(319)
(313)
(263)
(292)
(277)
(263)
(304)
(338)
(343)
(332)
(319)
(299)
(294)
(251)
(222)
(255)
Sonstige Posten
70
39
(114)
(131)
(74)
(207)
(141)
(41)
(45)
(205)
(167)
(4)
28
(29)
(290)
(303)
(98)
(173)
(172)
(129)
(68)
(27)
(95)
(435)
(324)
157
88
(57)
(3)
(48)
(1)
(131)
192
388
(392)
(541)
(182)
(89)
(37)
(36)
57
49
(142)
(149)
(55)
Cashflow aus Investitionstätigkeit
(101)
N/A
(124)
-23%
(315)
-154%
(348)
-10%
(279)
+20%
(411)
-47%
(389)
+5%
(282)
+28%
(330)
-17%
(476)
-44%
(457)
+4%
(258)
+44%
(193)
+25%
(255)
-32%
(551)
-116%
(573)
-4%
(443)
+23%
(552)
-25%
(559)
-1%
(502)
+10%
(425)
+15%
(344)
+19%
(400)
-16%
(727)
-82%
(625)
+14%
(145)
+77%
(201)
-39%
(341)
-70%
(311)
+9%
(367)
-18%
(314)
+14%
(394)
-25%
(100)
+75%
111
N/A
(655)
N/A
(845)
-29%
(520)
+38%
(432)
+17%
(369)
+15%
(355)
+4%
(242)
+32%
(245)
-1%
(393)
-60%
(371)
+6%
(310)
+16%
Finanzierungs-Cashflow
Nettoausgabe von Stammaktien
0
(16)
(15)
1
(1)
(102)
(102)
18
(8)
(41)
(201)
(162)
15
75
85
(30)
(50)
124
76
25
4
10
31
(144)
(147)
(70)
(161)
(89)
13
60
(93)
(167)
(23)
(190)
(208)
(19)
0
(51)
(268)
(227)
(10)
(20)
(50)
(93)
(100)
Nettoaufnahme von Schulden
(100)
0
(28)
0
78
173
(90)
(161)
29
132
295
40
(22)
(140)
237
1.213
716
(89)
(12)
11
(5)
346
364
542
534
(2)
(494)
(116)
371
(10)
401
143
(549)
130
726
248
(186)
123
535
173
(79)
(246)
(799)
46
742
Gezahlte Dividenden
(56)
(68)
(69)
(90)
(90)
(236)
(236)
(153)
(153)
(267)
(267)
(375)
(375)
(455)
(455)
(494)
(494)
(497)
(497)
(444)
(444)
(499)
(499)
(522)
(522)
(517)
(517)
(528)
(528)
(573)
(573)
(589)
(589)
(598)
(598)
(599)
(599)
(599)
(599)
(590)
(590)
(207)
(207)
(222)
(222)
Sonstiges
(16)
(319)
(21)
133
(3)
(18)
(23)
(22)
(35)
(51)
(48)
(26)
(32)
(35)
(44)
(39)
(39)
(45)
(33)
(32)
(71)
(73)
(64)
(59)
(75)
(103)
(101)
(106)
(95)
(95)
(105)
(130)
(142)
(107)
(101)
(111)
(119)
(110)
(116)
(121)
(160)
(156)
(138)
(135)
(131)
Cashflow aus Finanzierungstätigkeit
(172)
N/A
(403)
-134%
(133)
+67%
44
N/A
(16)
N/A
(183)
-1.044%
(451)
-146%
(318)
+29%
(167)
+47%
(227)
-36%
(221)
+3%
(523)
-137%
(414)
+21%
(555)
-34%
(177)
+68%
650
N/A
133
-80%
(507)
N/A
(466)
+8%
(440)
+6%
(516)
-17%
(216)
+58%
(168)
+22%
(183)
-9%
(210)
-15%
(692)
-230%
(1.273)
-84%
(839)
+34%
(239)
+72%
(618)
-159%
(370)
+40%
(743)
-101%
(1.303)
-75%
(765)
+41%
(181)
+76%
(481)
-166%
(904)
-88%
(637)
+30%
(448)
+30%
(765)
-71%
(839)
-10%
(629)
+25%
(1.194)
-90%
(404)
+66%
289
N/A
Veränderung der Zahlungsmittel
Effekt von Wechselkursänderungen
(1)
4
(2)
(19)
(41)
(16)
(3)
(2)
(10)
(28)
(15)
(24)
(24)
(12)
(32)
(47)
16
33
(5)
(7)
(13)
(23)
33
59
25
(18)
(55)
(62)
(29)
(7)
(30)
(31)
(23)
(30)
(50)
(22)
(31)
(72)
(70)
(81)
(96)
(42)
4
(69)
(82)
Nettoveränderung der Zahlungsmittel
51
N/A
(185)
N/A
(25)
+86%
103
N/A
75
-27%
(125)
N/A
(291)
-133%
(34)
+88%
199
N/A
48
-76%
145
+202%
2
-99%
209
+10.350%
6
-97%
23
+283%
781
+3.296%
396
-49%
(320)
N/A
(230)
+28%
(79)
+66%
(6)
+92%
309
N/A
377
+22%
97
-74%
149
+54%
174
+17%
(515)
N/A
(265)
+49%
408
N/A
(18)
N/A
360
N/A
(69)
N/A
(277)
-301%
537
N/A
300
-44%
(233)
N/A
(286)
-23%
(51)
+82%
143
N/A
(65)
N/A
(54)
+17%
235
N/A
(359)
N/A
405
N/A
1.120
+177%
Free Cashflow
Free Cashflow
154
N/A
175
+14%
224
+28%
209
-7%
206
-1%
281
+36%
304
+8%
327
+8%
421
+29%
508
+21%
548
+8%
553
+1%
619
+12%
602
-3%
522
-13%
481
-8%
345
-28%
327
-5%
413
+26%
497
+20%
591
+19%
575
-3%
607
+6%
656
+8%
658
+0%
727
+10%
725
0%
693
-4%
679
-2%
655
-4%
761
+16%
836
+10%
857
+3%
944
+10%
923
-2%
811
-12%
831
+2%
747
-10%
698
-7%
817
+17%
824
+1%
857
+4%
973
+14%
1.027
+6%
968
-6%
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