Starrag Group Holding AG

SIX:STGN.SW

45.6 (CHF) • At close September 18, 2024
Overview | Financials

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

202320222021202020192018201720162015201420132012201120102009200820072006
Operating Activities:
Net Income 25.17611.114-5.399-0.6346.8028.35912.0235.9449.35214.3213.34713.63210.8558.08726.50924.79921.8329.773
Depreciation & Amortization 7.8057.7288.2928.5327.9888.3038.5188.21711.31712.84312.42913.32511.9496.1526.5145.2684.9585.729
Deferred Income Tax 000000000000000000
Stock Based Compensation 000000000000000000
Change In Working Capital -9.819-7.67318.5117.42.62-24.338-10.9272.450.36-10.574-7.959-2.061-9.30419.86211.65-22.413-12.8595.84
Accounts Receivables 12.507-15.163-5.04229.2298.611-1.925-27.0739.5750000000000
Inventory -9.829-30.97413.741-0.192-5.991-22.41316.146-7.1250.36-10.574-7.959-2.602-12.273.99821.233-22.413-19.6367.765
Accounts Payables 4.86210.463-1.613-9.307-5.9663.36-5.0437.8090000000000
Other Working Capital -17.35928.00111.425-12.335.966-3.365.043-7.809-13.14-12.451-8.4360.5412.96615.864-9.58306.777-1.925
Other Non Cash Items -0.7231.147-5.018-4.3-6.93534.5493.474.574-10.045-9.248-9.0460.0335.651-1.924-10.5361.561-1.373-0.537
Operating Cash Flow 22.43912.31616.38610.99810.47526.87313.08421.18510.9847.3418.77124.92919.15132.17734.1379.21512.55820.805
Investing Activities:
Investments In Property Plant And Equipment -10.149-7.004-6.172-5.19-4.558-5.107-8.614-17.706-21.37-12.443-9.78-15.007-10.242-4.333-5.032-12.099-4.543-6.686
Acquisitions Net 15.9041.060.7410.3692.9530.1942.0440.259000-17.348-59.9820000-1.745
Purchases Of Investments 000000000000000000
Sales Maturities Of Investments 000000000000000000
Other Investing Activites -0.626-0.019-0.691-1.144-0.521-2.234-2.634-1.971-0.9-2.14-1.4320.2780.3620.1080.0630.157-4.3-0.746
Investing Cash Flow 5.755-5.944-5.431-4.821-2.126-7.147-9.204-19.418-22.27-14.583-11.212-32.077-69.862-4.225-4.969-11.942-8.843-9.177
Financing Activities:
Debt Repayment -18.087-10.785-13.568-12.095-0.271-0.662-0.354-0.254-0.249-0.286-0.286-0.281-0.401-0.306-22.609-0.15-7.8-19.456
Common Stock Issued 00000000000066.984000-2.50719.474
Common Stock Repurchased 000000000000-0.166000-1.1310
Dividends Paid -6.72-3.36-0.005-0.04-3.36-5.094-3.45-4.122-6.152-6.096-6.105-4.109-2.524-3.733-4.993-4.648-0.0960
Other Financing Activities 36.174-10.785-0.00524.19-22.1557.306-2.7217.59216.5162.419-0.425-0.084-0.4090.138-0.18.9580.85-0.071
Financing Cash Flow 11.367-14.145-13.57312.055-25.7861.604-6.4353.30610.219-3.915-6.759-4.47463.484-3.901-27.7024.16-10.684-0.053
Other Information:
Effect Of Forex Changes On Cash -0.811-0.544-0.09-0.3370.206-0.56-0.401-0.472-0.8120.010.008-0.461-1.255-3.8260.28-1.9270.1580.424
Net Change In Cash 38.75-8.317-2.70717.895-17.23120.77-2.9564.601-1.879-11.147-9.192-12.08311.51820.2251.746-0.494-6.81111.999
Cash At End Of Period 60.23221.48229.79932.50614.61131.84211.07214.0289.42711.30622.45331.64543.72832.2111.98510.23910.73317.544