Equities
  • Price (USD)1,483.91
  • Today's Change0.00 / 0.00%
  • Shares traded79.00
  • 1 Year change-10.67%
  • Beta--
Data delayed at least 15 minutes, as of Nov 22 2024 17:28 GMT.
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Inc stmt in CHFIncome statement in CHFView more

Year on year Barry Callebaut AG had net income fall -57.29% from 444.36m to 189.79m despite a 22.62% increase in revenues from 8.47bn to 10.39bn. An increase in the cost of goods sold as a percentage of sales from 84.08% to 86.69% was a component in the falling net income despite rising revenues.
Gross margin13.31%
Net profit margin1.84%
Operating margin4.30%
Return on assets1.62%
Return on equity6.62%
Return on investment3.63%
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Cash flow in CHFView more

In 2024, Barry Callebaut AG increased its cash reserves by 122.59%, or 411.19m. Cash Flow from Financing totalled 2.77bn or 26.64% of revenues. In addition the company used 2.06bn for operations while cash used for investing totalled 266.66m.
Cash flow per share79.63
Price/Cash flow per share16.89
Book value per share518.09
Tangible book value per share357.00
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Balance sheet in CHFView more

Barry Callebaut AG has a Debt to Total Capital ratio of 62.80%, a higher figure than the previous year's 39.23%.
Current ratio1.37
Quick ratio0.7386
Total debt/total equity1.69
Total debt/total capital0.628
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Growth rates in CHF

SmartText is unavailable
Div yield(5 year avg)1.47%
Div growth rate (5 year)2.21%
Payout ratio (TTM)83.87%
EPS growth(5 years)-12.45
EPS (TTM) vs
TTM 1 year ago
-57.26
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