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Compagnie Financière Richemont SA (CFR.SW)

Swiss - Swiss Delayed price. Currency in CHF
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135.85-3.05 (-2.20%)
As of 12:48PM CET. Market open.
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Balance sheet
Cash flow
Annual

Income statement

Currency in EUR. All numbers in thousands
Breakdown
ttm
31/03/2021
31/03/2020
31/03/2019
31/03/2018
Total revenue
16,573,000
13,144,000
14,238,000
13,989,000
10,979,000
Cost of revenue
6,239,000
5,283,000
5,627,000
5,344,000
3,829,000
Gross profit
10,334,000
7,861,000
8,611,000
8,645,000
7,150,000
Operating expenses
Selling general and administrative
6,660,000
5,755,000
6,487,000
6,193,000
5,247,000
Total operating expenses
7,385,000
6,385,000
7,095,000
6,704,000
5,307,000
Operating income or loss
2,949,000
1,476,000
1,516,000
1,941,000
1,843,000
Interest expense
221,000
215,000
192,000
151,000
65,000
Income before tax
2,748,000
1,515,000
1,198,000
3,168,000
1,653,000
Income tax expense
369,000
226,000
267,000
381,000
432,000
Income from continuing operations
2,379,000
1,289,000
931,000
2,787,000
1,221,000
Net income
2,374,000
1,301,000
933,000
2,784,000
1,221,000
Net income available to common shareholders
2,374,000
1,301,000
933,000
2,784,000
1,221,000
Basic EPS
-
2.30
1.65
4.93
2.16
Diluted EPS
-
2.30
1.65
4.93
2.16
Basic average shares
-
565,200
565,000
564,300
564,300
Diluted average shares
-
566,600
566,800
565,100
565,800
EBITDA
-
3,252,000
2,882,000
4,131,000
2,257,000