THE WAY TO MAKE IT

核心数据

请参阅我们前几年的成就.

Link to Factsheet, Key figures

   

2010

2009

2008

2007

Revenues

1)
CHF 1,000 340,172 211,504 341,912 348,818

Gross profit

CHF 1,000 178,559 120,169 192,636 199,454

in % of net sales

% 52.5 56.8 56.2 57.2

Operating profit (EBIT)

CHF 1,000 29,110 -22,672 31,119 43,259

in % of net sales

% 8.6 -10.7 9.1 12.4

Group profit (EAT)

CHF 1,000 17,780 -19,835 23,226 32,674

in % of net sales

% 5.2 -9.4 6.8 9.4

Cash flow from
operating activities

CHF 1,000 24,546 -8,196 29,268 23,770

Investments in
fixed assets

CHF 1,000 5,890 14,414 8,744 6,720

Free cash flow

CHF 1,000 19,500 -21,513 21,717 17,358

Research and
development

CHF 1,000 20,511 20,101 25,248 21,547

in % of net sales

% 6.0 9.5 7.4 6.2

Total assets

CHF 1,000 318,698 290,855 322,086 310,946

Fixed assets

CHF 1,000 107,162 114,187 108,397 111,573

Current assets

CHF 1,000 211,536 176,668 213,689 199,373

Shareholders' equity

2)
CHF 1,000 212,523 199,899 222,098 224,491

in % of total assets

% 66.7 68.7 69.0 72.2

Headcount
(at year-end)

No. 1,023 987 1,138 1,050

Shares

3)
No. 1,000 3,401 3,388 3,388 3,359

Par value

CHF 0.10 0,10 0.10 0.10

High

CHF 103.00 80.00 175.00 217.20

Low

CHF 73.10 36.5 48.95 152.00

Closing price
on Dec 31

CHF 102.00 72.00 53.90 181.00
1) Revenues = net sales and other operating income
2) Equity attributable to equity holders of the parent
3) Changes resulting from the exercising of option rights
 

需了解更多信息,请与中国上海联系

Komax Holding AG
Marco Knuchel
Industriestrasse 6
CH - 6036 Dierikon
Tel. +41 (0)41 455 06 16
Fax +41 (0)41 450 10 24
Internet: http://www.komaxgroup.com