Ascom Holding AG

SIX:ASCN.SW

5.53 (CHF) • At close September 19, 2024
Overview | Financials

Numbers are in millions (except for per share data and ratios) CHF.

202320222021202020192018201720162015201420132012201120102009200820072006200520042003
Operating Activities:
Net Income 17.41113.56.50.521.425.9-145.724.337.536.920.923.132.524.48.2-13.835.6144.847.2-67.8
Depreciation & Amortization 9.99.912.913.93.843.79.114.417.419.122.520.220178.823.314.625.431.159
Deferred Income Tax 30.921.6-3.6-0.110.4-1.7-1.813.2-25.5-22.2-31.1-19.600-12.1-10000
Stock Based Compensation 0.3-40.6-0.20.70.60.20.30.80.50.61.61.20.91.71.400.91000
Change In Working Capital 2.6-18.6-18.520.8-4.4-5.7-10.70.91.3-13.823.9-192.6-0.5-2.9-15.2107.34.936.627.197.4
Accounts Receivables 10.7-7.5-12.415.45-9.8-5.32.62.2-1418.40000000000
Inventory -4-13.5-5.74.4-9.44.1-5.4-1.7-0.90.25.55.54.51.56.7-7.80.5-6.67.815.769
Accounts Payables 0.90.21.9-4.24-2.10.8-3.20000000000000
Other Working Capital -52.2-2.35.2-42.1-0.83.2-7.9-5.2-8.9-24.5-1.9-2-9.6-7.4106.811.528.811.428.4
Other Non Cash Items -0.747.61.91.660.2-3140.9-7.24.8-18.220.712.1-15.4-4.1-44.5-34.5-165.8-60.5-34.4
Operating Cash Flow 32.510.211.645.12.92016.2633.346.563.35.416.446.224.5-2.361.111.64144.954.2
Investing Activities:
Investments In Property Plant And Equipment -16.2-13.4-11.7-10.7-1.7-2.8-2.5-4-4.3-4.3-2.8-6.6-9-14.5-9.4-11.7-7.7-13.4-26.3-16.5-27.5
Acquisitions Net 0-1.10.90.36.9-38.915.9-1.1-0.4-12-89-3.22.1-177.3-8.1038.1145.73.4100.8
Purchases Of Investments 0-0.5-160-70000-4.9003.98.530007.9-0.8108.6
Sales Maturities Of Investments 00.51600.10001.15.3000.80.66.10008.30.54.2
Other Investing Activites -11.70.5160.4-7.7-8.3-7.1-14.4-9-3.6-3.61.63-8.1-2.5-6.26.238.610.226.3-8.6
Investing Cash Flow -16.2-145.2-10-9.4-14.1-0.7-2.5-13.3-3-18.4-94-4.5-11.4-180.1-26-1.563.3145.812.9177.5
Financing Activities:
Debt Repayment -10-10-19-21-20-2-7.9-10.4-33-60.1-55.60-95.9-25.1-2000-1.8-206.5-55.3-217.8
Common Stock Issued 00000.100.20.98.92.97.31.22.91.30.10.100.91.7067.5
Common Stock Repurchased 0-0.60-0.1-20.10-8.19.5-0.2-0.1-1.7-2.1-2.6-3.4-0.8-6.2-4.2-179.3-4.8-10
Dividends Paid -7.2-7.200-16.2-16.2-28.8-16.1-15.8-14-12.2-8.6-8.60000-10.1-9.900
Other Financing Activities 000-4060.140.2-19.33020.212.787.937.50120.201.50.496.6-31.1-59
Financing Cash Flow -17.22.2-19-21.13.9-14.2-20.7-25.6-10.1-51.1-49.578.4-66.7-27.299.5-6.1-2.7-189.9-122.9-87.4-209.3
Other Information:
Effect Of Forex Changes On Cash -1-1.3-0.1-0.4-0.4-0.81.2-1-2.7-0.4-0.30-0.9-6.31.2-60.51.72.5-0.9-7.7
Net Change In Cash -1.9-2.9-2.313.6-3-9.1-4-23.17.2-8-4.9-10.2-55.71.3-54.9-40.457.4-113.366.4-30.514.7
Cash At End Of Period 24.726.629.531.818.221.230.334.357.450.258.263.173.3129127.7182.6223165.6278.9212.5243