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OC Oerlikon Corp AG, Pfaffikon (CHF)
OERL
Overview
Key Information
Legal Documents
Financials

Overview

SectorIndustrials
Industry-
Day Range10.08 | 10.45
52-Wk Range- | -
Last Close10.39
Mkt Cap (m)3,385.29
Dividend yield3.37
ISINCH0000816824
Volume662,971.00
Exchange VenueSWX

Company Profile

OC Oerlikon Corp AG, Pfaffikon is a technology company. It provides technologies and services for surface solutions, manmade fibers manufacturing, and drive systems.

Key Information
Price/Earning94.45
Price/Book2.56
Price/Sales1.51
P/CF11.03
Rev Growth (3 year avg)-7.44
EPS Growth (3 year avg)-0.37
Operating Margin % 2.52
Net Margin %1.55
Return on Equity2.27
Debt/Equity0.28

Documents

Annual Report
en 31/12/2020

Please refer to the below issuer website for further documents.

https://www.oerlikon.com

Financials

Income Statement
CHF201520162017201820192020
Revenue (m)2,671.002,331.002,847.002,610.002,593.002,258.00
Operating Income (m)282.00155.00219.00244.00166.0057.00
Net Income (m)-421.00387.00149.00240.00-70.0035.00
Basic EPS-1.241.140.440.71-0.210.11
Avg. Diluted Shares Outstanding (m)339.07339.27339.39339.27338.49329.08
Balance Sheet
CHF201520162017201820192020
Current Assets (m)2,045.001,736.002,066.002,571.001,490.001,233.00
Non Current Assets (m)2,052.002,089.002,286.001,974.002,158.002,108.00
Total Assets (m)4,097.003,825.004,352.004,545.003,647.003,340.00
Current Liabilities (m)1,329.00783.001,154.001,780.00997.001,122.00
Total Liabilities (m)------
Total Equity (m)1,554.001,826.001,970.002,001.001,756.001,324.00
Cash Flows
CHF201520162017201820192020
Operating Cash Flows (m)289.00293.00478.00498.00152.00310.00
Capital Expenditure (m)-162.00-152.00-237.00-281.00-184.00-117.00
Figures are quoted in CHF unless stated otherwise
-0.17 (-1.64%)
10.22
Last Price