Swisscom AG Financial Ratios for Analysis 2009-2023 | SCMWY

Fifteen years of historical annual and quarterly financial ratios and margins for Swisscom AG (SCMWY).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
0.860.890.930.890.780.880.730.870.810.770.830.911.010.960.90
0.300.330.350.400.410.450.460.530.590.560.540.650.650.580.58
0.490.540.600.740.841.001.081.301.641.581.472.112.061.561.56
75.3975.8275.1575.9675.4274.7876.6776.3079.9579.7679.5578.9379.0577.7777.94
19.9218.3618.4717.5416.6817.6618.2718.4517.2319.8419.7521.3519.7219.3618.87
19.9218.3618.4717.5416.6817.6618.2718.4517.2319.8419.7521.3519.7219.3618.87
41.7439.6540.0439.4838.0535.9736.8336.8735.0937.7137.6238.4849.8735.8135.43
18.7417.6719.2416.2115.0516.3616.8117.0915.1017.8417.7519.047.3719.0919.87
15.4414.4216.3813.7814.6013.0413.4613.7811.6514.4714.7415.426.0514.9016.04
0.450.450.450.460.470.520.530.540.550.560.560.570.590.570.55
--------13.4615.9015.3814.9916.6817.7719.61
3.154.814.765.215.255.354.864.774.614.534.544.033.854.374.10
11675.8176.6470.1169.5768.2775.0876.5979.2380.6580.3290.5494.7983.4988.99
14.7214.3516.9516.1018.8118.5320.5124.5925.9831.2628.2442.4015.9031.0630.04
36.3037.6546.5059.1389.25128224-411.28-76.52-117.57-197.09-67.07-30.40-97.58-74.90
6.916.517.396.306.886.737.117.486.448.158.278.773.519.268.77
10.339.6410.989.7111.1810.1311.1211.5510.7813.6712.8714.825.5412.9112.71
24.9922.6022.8419.5417.2415.8514.7612.5910.5311.5312.518.56---
8.667.848.548.387.7473.4080.2272.307.777.968.618.748.647.477.83
3.803.243.783.913.1526.3834.1825.893.022.843.563.504.113.984.32

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
0.940.860.840.851.030.890.870.780.990.930.900.911.000.890.810.810.890.780.880.800.980.880.920.870.900.73---0.890.860.810.980.810.900.660.740.770.760.800.860.830.870.621.010.910.940.851.001.010.970.911.010.960.960.911.000.901.141.061.31
0.290.300.310.340.330.330.340.350.340.350.360.390.370.400.420.440.400.410.460.460.440.450.460.480.440.46---0.530.630.650.610.590.610.570.550.560.570.590.530.540.590.580.600.650.650.670.620.650.630.630.580.580.580.620.580.580.630.650.66
0.470.490.540.620.530.540.590.680.570.600.630.720.660.740.860.940.930.840.991.090.901.001.001.171.001.08---1.301.932.221.751.641.751.861.591.581.671.691.451.471.761.911.692.112.112.321.752.061.861.921.521.561.551.871.541.561.721.941.93
74.6674.0574.8976.8075.9474.5075.1076.9376.7749.54100.0075.9075.7473.8176.2176.9477.1373.5975.5176.6076.1272.4074.9376.3075.6073.5176.0578.7778.5978.6179.8280.6581.1477.1881.5880.7080.3777.8880.1080.6280.4379.1080.4378.9079.8175.9479.8379.9280.1974.7580.4079.7977.4675.3677.8779.0878.2680.9377.9378.1778.63
21.0117.1521.7720.0520.8616.6720.4316.5119.83-9.1444.6420.6118.4114.7219.5817.7018.4112.7218.6917.9117.6614.8119.3518.6617.9511.9419.3222.8419.4315.1419.3520.8018.5415.0015.5219.5818.8015.4723.1821.1519.5317.2822.2219.9219.7517.6922.6723.0622.2317.5322.4820.9821.6517.1422.8922.0916.362.4125.5724.1319.89
21.0117.1521.7720.0520.8616.6720.4316.5119.83-9.1444.6420.6118.4114.7219.5817.7018.4112.7218.6917.9117.6614.8119.3518.6617.9511.9419.3222.8419.4315.1419.3520.8018.5415.0015.5219.5818.8015.4723.1821.1519.5317.2822.2219.9219.7517.6922.6723.0622.2317.5322.4820.9821.6517.1422.8922.0916.362.4125.5724.1319.89
-------------------------------------------------------------
20.5015.8620.7118.7919.7715.6719.1515.9619.8713.2219.0618.2426.4013.3319.2915.3017.1010.4616.9416.0917.0313.1618.2017.7416.4610.4018.5321.0617.6615.9118.1318.5215.8112.5713.7218.7115.3812.8122.5719.2816.6615.5519.8818.1017.5914.9220.5620.9319.99-37.2225.2520.5920.8816.0721.9221.6216.8316.2621.3422.3320.82
16.8313.9216.8215.0216.0913.4015.7112.3616.1510.3817.7214.6422.7612.4615.6312.6814.4316.3114.3614.1613.4610.2514.8114.0113.219.7814.7916.3313.1813.4714.2714.7012.659.889.4715.1112.1311.4118.4414.9413.0814.1615.7014.9214.1912.7416.3216.6016.17-28.5120.0316.9616.3912.8817.6616.4712.7713.0017.0217.6616.63
0.110.120.110.110.110.120.110.110.110.110.110.110.110.120.110.110.110.120.120.120.120.130.130.130.130.14---0.140.130.130.130.140.140.140.140.140.140.140.140.150.140.140.130.150.140.140.140.150.130.140.140.150.140.140.130.140.140.140.13
-----------------------------4.10---3.86---4.34---4.19---4.47---4.58---5.12---5.52---
1.210.831.241.221.231.240.761.161.211.201.171.151.131.411.291.261.241.381.311.281.301.381.301.311.261.27---1.171.121.141.111.161.101.091.091.131.101.111.111.211.081.080.921.050.920.940.930.980.940.981.011.181.001.021.001.061.001.021.02
74.5510972.7074.0273.2372.6311877.3974.6275.1176.6678.5479.7363.9169.8071.4172.3765.3568.6470.5169.3965.1969.1968.4671.3870.61---77.1980.4879.2080.7777.5182.1382.9082.4779.6381.7381.0681.2374.3683.3583.3698.3385.4497.8996.2396.9191.5195.5391.6789.1376.0389.7287.9090.2484.7889.7988.5988.09
3.733.504.073.723.783.433.983.243.972.694.654.066.103.954.994.154.355.515.025.034.573.755.125.314.513.91---6.138.989.957.395.575.528.816.756.1510.238.186.107.228.729.167.519.0910.7811.939.20-19.4411.109.407.686.658.468.995.856.308.449.488.11
8.758.6410.4810.329.299.0010.869.5310.307.3913.3212.9018.0314.5125.4326.3318.8326.1640.2248.5325.7025.9726.8645.7924.3642.65----102.47-17.21-15.62-17.47-16.40-13.69-23.95-22.15-23.11-33.39-30.32-55.84-50.37-26.74-19.04-24.86-14.39-18.16-16.38-23.8437.16-18.84-16.62-22.45-20.91-24.73-16.45-16.21-15.72-17.49-15.45-16.10
1.781.651.861.631.741.561.761.381.801.172.001.662.541.551.781.421.552.021.671.641.591.361.931.821.661.36---1.861.911.981.691.381.312.101.691.602.602.131.792.112.232.171.901.882.312.392.28-4.292.682.362.241.982.482.301.701.842.332.432.10
2.642.462.802.452.542.312.622.122.621.742.962.453.812.382.912.312.623.282.702.702.542.052.792.762.532.12---2.883.343.502.852.312.143.743.022.694.383.362.853.293.553.813.023.183.753.943.51-6.784.143.493.222.773.553.402.462.673.143.322.79
26.9024.9924.8023.4624.4022.6021.5120.8323.5422.8422.1721.3222.3219.5418.0916.5018.0817.2415.6515.2016.2515.8516.0514.8416.2114.76---12.789.018.489.5810.539.9410.0910.5611.5311.2211.5013.2312.5110.789.6010.788.568.558.1710.39------------
1.948.666.283.721.767.845.542.971.398.546.133.881.878.386.363.911.547.745.743.481.6272.9849.9130.2614.0082.0558.3335.9515.287.575.693.411.297.775.783.351.587.966.023.611.588.615.903.671.408.745.943.931.978.636.713.691.597.475.583.522.037.815.963.681.69
0.653.802.771.360.643.242.380.880.313.782.791.610.743.912.991.770.523.152.190.990.6226.2318.309.433.8334.9626.6715.265.152.892.191.040.133.022.270.990.452.842.331.150.443.562.511.540.383.502.221.820.914.103.261.680.733.983.252.111.304.313.612.201.10