Ypsomed Holding AG

SIX:YPSN.SW

400 (CHF) • At close November 5, 2024
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) CHF.

20232022202120202019201820172016201520142013201220112010200920082007200620052004200320022001
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 73.44224.47715.85918.14712.16612.08332.11138.88425.50716.24316.1649.6139.7355.0228.0658.9938.29140.72465.66855.98512.6163.8931.932
Kortetermijnbeleggingen 0.5750.7471.1794.26410.1680.6670.65000000002.295025.47841.2380000
Liquide middelen en kortetermijnbeleggingen 74.01725.22417.03822.41122.33412.08332.11138.88425.50716.24316.1649.6139.7355.0228.06511.28538.29166.202106.90655.98512.6163.8931.932
Nettovorderingen 143.9109.02695.48884.991.35489.69598.47963.69952.71345.34335.34237.48728.36445.52932.71331.27530.89344.30956.29539.62929.98619.44616.085
Voorraad 107.02659.02470.38664.88261.5352.41259.28448.3249.09551.78152.23156.57350.14751.57646.844.2543.76837.54944.1434.60237.70330.73524.725
Overige vlottende activa 13.00215.05310.67212.94814.67224.59928.43724.47521.04810.13110.8475.0586.3585.25812.57411.65131.21213.48111.42676.8613.0087.0042.048
Totaal vlottende activa 337.945208.327193.584185.141189.89178.789218.311175.378148.363123.498114.584108.73194.604107.385100.15298.461144.164161.541218.767207.07693.31361.07844.79
Niet-vlottende activa:
Materiële vaste activa, netto 437.32379.587327.945326.197300.712268.644192.314158.615153.752150.946160.437161.686166.361179.052186.273182.933166.368146.343133.648145.899101.5700
Goodwill 00000000000000000313.753313.7310000
Immateriële activa 281.576231.738190.779160.728102.5168.258.3915.2694.4823.782.58355.14150.191361.544352.327341.515325.851-12.266-11.992300.81300.5790.8320.779
Goodwill en immateriële activa 281.576231.738190.779160.728102.5168.258.3915.2694.4823.782.58355.14150.191361.544352.327341.515325.851301.487301.739300.81300.5790.8320.779
Langetermijnbeleggingen 10.68410.72910.84710.8552.0548.72310.19610.3788.1518.5919.3768.3379.05422.12920.05800.02-15.774-32.1660.020.0200
Belastingvorderingen 33.8731.49833.75534.76733.0682.8132.283.8555.6279.1698.8357.8977.0633.9912.5722.3171.4413.5922.3484.4665.1791.1210.6
Overige niet-vlottende activa 00000-2.813-2.28-3.855-5.627-9.169-8.8350.001-0.0010.5310.6286.990.38625.641.3630.2110.12279.93170.948
Totaal niet-vlottende activa 763.45653.552563.326532.542488.35285.617210.901174.262166.385163.317172.396233.062232.668567.247561.858533.755494.066461.248446.932451.406407.4781.88472.327
Totaal activa 1,101.395861.879756.91717.683678.24587.748500.239421.801388.871361.211354.528341.793327.273674.632662.01632.216638.23622.789665.699658.482500.783142.962117.117
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 30.88419.6217.38634.55324.04419.34831.91621.95619.96815.48415.92816.65913.46113.0813.29235.26616.91411.40413.49918.44512.4918.2328.242
Kortlopende schulden 256157157182.5182.9991124927395662.564.546.50000000000
Belastingschulden 6.2122.2390.1821.2423.8556.6636.8194.0362.9661.8541.0762.0142.1984.5933.3351.3421.8912.0215.7045.3893.9231.3060.521
Uitgestelde opbrengsten 74.80623.91819.54419.38211.91712.72913.18112.536-39-56-62.52.01430.9350000000000
Overige kortlopende verplichtingen 78.53358.4543.40635.94257.04343.80648.35641.51485.35785.14487.10918.194-0.00187.66264.6618.12531.14229.14736.80447.02320.76314.9978.275
Totaal kortlopende verplichtingen 440.223258.988237.336272.377276.003187.883142.453103.006105.325100.628103.037101.36790.895100.74277.95343.39148.05640.55150.30365.46833.25423.22916.517
Langlopende verplichtingen:
Langetermijnschulden -7.729-7.97611032.5101010101015202014.500001802000000
Uitgestelde opbrengsten niet-vlottend 7.7297.9767.7398.7577.6873.6447.1036.0287.10813.23418.9312.7013.2970000000000
Uitgestelde belastingverplichtingen niet-vlottend 3.222.512.7832.5392.1682.92.8973.9722.8921.7661.0690.350.5773.2682.9593.7034.1194.6164.1123.8513.8883.5932.347
Overige niet-vlottende verplichtingen 32.48730.072-1.227-2.632-2.964-6.544-10-10-10-15-200.0010.00132.56643.355148.091168.4767.5947.27231.991451.8014.4572.675
Totaal niet-vlottende verplichtingen 35.70732.582119.29541.16416.89110101010152023.05218.37535.83446.314151.794172.595192.21211.382235.842455.6898.055.022
Totaal passiva 475.93291.57356.631313.541292.894208.944158.697120.005121.035120.574126.366124.419109.27136.576124.267195.185220.651232.761261.685301.31488.94331.27921.539
Eigen vermogen:
Preferente aandelen 147.491000005.34910.449.383163.21155.588000000000000
Gewone aandelen 193.144193.144178.994178.994178.994178.994178.994178.994178.994178.994178.994178.994178.994178.994182.156109.631116.378116.378130.433140.5530.2500
Ingehouden winsten 258.295188.801132.516116.744112.193420.743360.607308.547262.3226.488207.093193.485191.8390026.16626.583109.175106.43439.19511.5912.0615.776
Overige gereserveerde algehele resultaten 166.297180.55581.03100.60493.067108.554-5.349-10.44-9.383-163.21-155.588-181.753-184.195-171.651-167.87800000000
Overige totale aandeelhoudersvermogen -147.491-0.1670-0.957-6.595-329.487-198.059-185.745-173.458-164.845-157.92526.64831.365530.713523.465301.234274.618164.475167.147177.424099.62289.802
Totaal eigen vermogen van aandeelhouders 617.736562.333392.54395.385377.659378.804341.542301.796267.836240.637228.162217.374218.003538.056537.743437.031417.579390.028404.014357.17211.84111.68395.578
Totaal eigen vermogen 617.736562.333392.54395.385377.659378.804341.542301.796267.836240.637228.162217.374218.003538.056537.743437.031417.579390.028404.014357.17211.84111.68395.578
Totaal passiva en aandeelhoudersvermogen 1,101.395861.879756.91717.683678.24587.748500.239421.801388.871361.211354.528341.793327.273674.632662.01632.216638.23622.789665.699658.482500.783142.962117.117