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medmix AG
Nakaraang pagsara
CHF 9.69
Sakop ng araw
CHF 9.60 - CHF 9.80
Sakop ng taon
CHF 8.18 - CHF 13.02
Market cap
397.77M CHF
Average na Volume
73.59K
P/E ratio
-
Dividend yield
5.19%
Primary exchange
SWX
Sa balita
Mga Financial
Income Statement
Kita
Net na kita
| (CHF) | Hun 2025info | Y/Y na pagbabago |
|---|---|---|
Kita | 112.70M | -6.55% |
Gastos sa pagpapatakbo | 32.90M | -1.20% |
Net na kita | 3.40M | 30.77% |
Net profit margin | 3.02 | 39.81% |
Kita sa bawat share | — | — |
EBITDA | 21.40M | -0.47% |
Aktuwal na % ng binabayarang buwis | 18.82% | — |
Balance Sheet
Kabuuang asset
Kabuuang sagutin
| (CHF) | Hun 2025info | Y/Y na pagbabago |
|---|---|---|
Cash at mga panandaliang investment | 108.40M | -22.96% |
Kabuuang asset | 952.60M | -8.09% |
Kabuuang sagutin | 522.20M | -7.74% |
Kabuuang equity | 430.40M | — |
Natitirang share | 40.82M | — |
Presyo para makapag-book | 0.93 | — |
Return on assets | 2.19% | — |
Return on capital | 2.78% | — |
Cash Flow
Net change in cash
| (CHF) | Hun 2025info | Y/Y na pagbabago |
|---|---|---|
Net na kita | 3.40M | 30.77% |
Cash mula sa mga operasyon | 15.20M | 6.29% |
Cash mula sa pag-invest | -9.45M | 10.00% |
Cash mula sa financing | -13.05M | -6,625.00% |
Net change in cash | -9.00M | -278.22% |
Malayang cash flow | 7.03M | 19.81% |
Tungkol
Itinatag
1922
Headquarters
Website
Mga Empleyado
2,667