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Financials data is unavailable for this security.

Inc stmt in CHFIncome statement in CHFView more

Income statement information is not available for VAT Group AG.
Gross margin65.96%
Net profit margin21.26%
Operating margin26.50%
Return on assets17.15%
Return on equity33.02%
Return on investment22.05%
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Cash flow in CHFView more

In 2024, VAT Group AG increased its cash reserves by 9.72%, or 14.01m. The company earned 240.64m from its operations for a Cash Flow Margin of 25.54%. In addition the company used 57.39m on investing activities and also paid 172.50m in financing cash flows.
Cash flow per share8.94
Price/Cash flow per share58.25
Book value per share23.16
Tangible book value per share8.44
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Balance sheet in CHFView more

SmartText is unavailable
Current ratio1.49
Quick ratio0.8864
Total debt/total equity0.5907
Total debt/total capital0.3713
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Growth rates in CHF

SmartText is unavailable
Div yield(5 year avg)1.70%
Div growth rate (5 year)9.34%
Payout ratio (TTM)83.94%
EPS growth(5 years)23.13
EPS (TTM) vs
TTM 1 year ago
11.73
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