OTC · Financial Statements

Compagnie Financière Richemont S.A. (CFRUY) Financial Statements

$23.32 OTC: CFRUY Market Cap $137.11B

Compagnie Financière Richemont S.A. most recently reported annual revenue of $22.4B, net profit of $3.5B, revenue has compounded at 11.5% a year over the last five years. See the full income statement, balance sheet, and cash flow statement below, plus valuation and return ratios.

Annual Financials (USD)

Metric20222023202420252026
Revenue$17.6B$19.1B$20.6B$21.4B$22.4B
Operating Profit$4.2B$4.9B$4.8B$4.5B$4.5B
Net Profit$2.1B$313.0M$2.4B$2.8B$3.5B
EPS$0.43$0.06$0.43$0.47$0.59
Op Margin23.6%25.6%23.3%20.9%20.0%

Balance Sheet (USD)

Metric20222023202420252026
Total Assets$40.2B$41.0B$42.7B$41.0B$42.7B
Total Liabilities$20.2B$21.9B$22.0B$18.8B$18.5B
Cash$9.9B$11.0B$10.7B$7.6B$8.5B
Borrowings$15.1B$15.8B$16.4B$13.1B$13.5B

Cash Flow (USD)

Metric20222023202420252026
Operating Cash Flow$4.9B$4.3B$4.7B$4.4B$4.9B
Investing Cash Flow$-3.4B$-2.9B$-3.6B$-2.7B$-2.6B
Financing Cash Flow$-855.0M$-663.0M$-828.0M$-985.0M$-984.0M
Net Cash Flow$2.1B$1.0B$270.0M$387.0M$1.4B
Free Cash Flow$4.0B$3.4B$3.7B$3.3B$3.9B

Valuation & Return Ratios

MetricValue
PEG Ratio0.84
EV / EBITDA19.48
FCF Yield3.29%
Quick Ratio2.06
Interest Coverage14.41
Return 1Y5.26%
Return 3Y76.29%
Return 5Y122.93%

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