Key Figures

Cicor Group Income Statement

in CHF 1 000

2020

in %

2021

in %

2022

in %

2023

in %

Order entry

216 047

100.5

286 614

119.9

358 878

114.6

399 775

102.5

Net sales

214 891

100.0

239 044

100.0

313 193

100.0

389 890

100.0

Change to previous year (%)

–15.4

 

11.2

 

31.0

 

24.5

 

Organic growth (%) 1)

–13.8

 

11.9

 

14.1

 

11.1

 

EBITDA 2)

19 362

9.0

23 122

9.7

32 274

10.3

45 135

11.6

Change to previous year (%)

–21.9

 

19.4

 

39.6

 

39.8

 

Core EBIT 2)

8 851

4.1

12 963

5.4

21 405

6.8

32 734

8.4

Operating profit (EBIT) 2)

8 851

4.1

12 204

5.1

12 234

3.9

23 368

6.0

Core net profit 2)

4 172

1.9

8 174

3.4

12 266

3.9

16 653

4.3

Net profit

4 172

1.9

7 482

3.1

3 820

1.2

6 083

1.6

Core earnings per share (in CHF) 2)

1.44

 

2.81

 

3.30

 

3.76

 

Earnings per share (in CHF)

1.44

 

2.57

 

1.03

 

1.37

 

 

 

 

 

 

 

 

 

 

Number of employees (FTEs as per 31 December)

1 901

 

2 181

 

2 217

 

2 551

 

1) Change in local currencies, adjusted for acquisitions.

2) Refer to note 2.3 for the definition of non-GAAP measures.

Sales by industry

Sales by region

Divisional Income Statement

in CHF 1 000

2020

in %

2021 1)

in %

2022

in %

2023

in %

Net sales EMS Division

163 055

100.0

194 518

100.0

269 637

100.0

347 932

100.0

EBITDA EMS Division

13 621

8.4

17 987

9.2

28 950

10.7

43 366

12.5

 

 

 

 

 

 

 

 

 

Net sales AS Division

52 521

100.0

45 259

100.0

44 779

100.0

43 011

100.0

EBITDA AS Division

7 352

14.0

8 056

17.8

6 459

14.4

6 063

14.1

1) Restated

Cicor Group Balance Sheet

in CHF 1 000

31.12.2020

in %

31.12.2021

in %

31.12.2022

in %

31.12.2023

in %

Non-current assets

52 710

29.0

121 258

37.7

115 313

31.4

109 217

30.2

Current assets

129 340

71.0

200 631

62.3

251 422

68.6

251 896

69.8

Total assets

182 050

100.0

321 889

100.0

366 735

100.0

361 113

100.0

Equity

76 334

41.9

88 887

27.6

148 891

40.6

148 080

41.0

 

 

 

 

 

 

 

 

 

Financial liabilities

56 752

31.2

129 856

40.3

120 013

32.7

101 335

28.1

Cash and cash equivalents

43 135

23.7

68 797

21.4

75 491

20.6

57 851

16.0

Net debt

13 617

7.5

61 059

19.0

44 522

12.1

43 484

12.0

Financial leverage (Net debt / EBITDA 2) )

0.70

 

1.96

 

1.36

 

0.96

 

 

 

 

 

 

 

 

 

 

Operating inventories 1)

49 137

27.0

66 639

20.7

101 125

27.6

105 419

29.2

Operating trade receivables 1)

30 087

16.5

43 492

13.5

49 226

13.4

49 497

13.7

Operating trade payables 1)

22 362

12.3

38 933

12.1

39 221

10.7

36 723

10.2

Operating net working capital

56 862

31.2

71 198

22.1

111 130

30.3

118 193

32.7

in % of LTM net sales 2)

26.5

 

25.7

 

34.8

 

30.3

 

 

 

 

 

 

 

 

 

 

Capex for tangible assets

5 072

 

8 623

 

11 187

 

11 628

 

in % of net sales

2.4

 

3.6

 

3.6

 

3.0

 

1) Refer to note 2.3 for the definition of Operating net working capital.

2) Acquisitions are included for full twelve months pro-forma.

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