Key figures

CPH Group net sales trends

CPH Group EBITDA trends

CPH Group net sales by division

CPH Group net sales by region

The CPH Group

in CHF thousand

2020

2019

2018

2017

2016

Net sales

445 189

524 657

533 543

469 767

434 835

Earnings before interest, taxes, depreciation and amortization (EBITDA)

55 151

87 994

83 121

33 761

36 935

in % of net sales

12.4 

16.8 

15.6 

7.2 

8.5 

Earnings before interest and taxes (EBIT)

24 663

56 600

51 633

2 901

5 891

in % of net sales

5.5 

10.8 

9.7 

0.6 

1.4 

Financial result

– 4 652

– 5 647

– 5 976

– 6 604

– 5 066

Earnings before taxes and extraordinary items

20 011

50 953

45 657

– 3 703

825

Net result for the year 1)

46 963

48 453

42 280

16 187

– 7 714

in % of net sales

10.5 

9.2 

7.9 

3.4 

– 1.8 

in % of equity

10.0 

11.0 

10.4 

4.1 

– 2.0 

in % of total capital

6.7 

6.9 

5.3 

2.3 

– 1.1 

Cash flow

45 841

79 943

68 961

14 467

28 271

Investments in tangible fixed assets (gross)

17 507

21 888

22 299

32 314

20 720

Free cash flow

39 683

139 926

– 80 488

12 857

1 938

Adjusted free cash flow 2)

39 683

39 926

19 512

12 857

1 938

Balance sheet total 1)

704 233

702 658

800 469

697 552

672 427

Fixed assets

432 893

436 017

447 172

455 307

450 304

in % of balance sheet total

61.5 

62.1 

55.9 

65.3 

67.0 

Equity

471 867

441 289

407 144

396 245

380 782

in % of balance sheet total

67.0 

62.8 

50.9 

56.8 

56.6 

Net cash

– 1 549

– 29 502

– 56 890

– 73 071

– 82 099

Personnel at year-end

1 098

1 086

1 081

1 019

985

1) Including minorities

2) Excluding (for 2018 and 2019) CHF 100 million fixed-term deposit of funds generated by bond issue of 12.10.2018, repaid 9.7.2019 

CPH Chemie + Papier Holding AG

in CHF thousand

2020

2019

2018

2017

2016

Net result for the year

14 335

52 553

13 089

7 084

– 8 371

Equity

441 907

438 380

396 588

387 358

384 169

Per-share statistics

in CHF

2020

2019

2018

2017

2016

Share price

high

80.80

88.50

89.00

57.30

42.20

low

57.00

74.00

54.00

39.00

29.80

on 31 December

72.60

79.20

82.50

53.55

40.00

Equity per share 1)

78.46

73.56

67.87

66.06

63.49

Net result per share 1)

7.82

8.06

7.05

2.66

– 1.32

Cash flow per share 1)

7.64

13.33

11.50

2.41

4.71

Distribution per share 2)

1.80

1.80

1.80

0.65

0.65

1) Based on consolidated financial statements and excluding minorities

2) For 2020: recommendation