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    CSGN   CH0012138530

CREDIT SUISSE GROUP AG

(CSGN)
  Report
Delayed Swiss Exchange  -  11:30 2022-07-01 am EDT
5.424 CHF   +0.07%
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SummaryQuotesChartsNewsRatingsCalendarCompanyFinancialsConsensusRevisions 
Valuation
Fiscal Period: December 2019 2020 2021 2022 2023 2024
Capitalization1 32 41927 60821 22313 864--
Enterprise Value (EV)1 110 93027 60821 22313 86413 86413 864
P/E ratio 9,93x10,8x-13,9x28,8x6,80x5,30x
Yield 2,12%2,57%1,13%2,45%3,89%4,98%
Capitalization / Revenue 1,44x1,23x0,86x0,74x0,68x0,66x
EV / Revenue 1,44x1,23x0,86x0,74x0,68x0,66x
EV / EBITDA ---2,40x2,41x-
Price to Book 0,73x0,64x0,52x0,31x0,30x0,29x
Nbr of stocks (in thousands) 2 473 7842 421 7892 392 1072 556 103--
Reference price (CHF) 13,111,48,875,425,425,42
Announcement Date 02/13/202002/18/202102/10/2022---
1 CHF in Million
Previous periodNext period
Estimates
Income Statement Evolution (Annual data)
Fiscal Period: December 2019 2020 2021 2022 2023 2024
Net sales1 22 48422 38924 60818 72120 32620 907
EBITDA1 ---5 7655 751-
Operating profit (EBIT)1 5 0444 5633 6831 0163 4444 079
Operating Margin 22,4%20,4%15,0%5,43%16,9%19,5%
Pre-Tax Profit (EBT)1 4 7203 467-5221653 0483 754
Net income1 3 4192 669-1 5724132 0692 650
Net margin 15,2%11,9%-6,39%2,21%10,2%12,7%
EPS2 1,321,06-0,640,190,801,02
Dividend per Share2 0,280,290,100,130,210,27
Announcement Date 02/13/202002/18/202102/10/2022---
1 CHF in Million
2 CHF
Previous periodNext period
Estimates
Income Statement Evolution (Quarterly data)
Fiscal Period: December 2021 Q3 2021 Q4 2022 Q1 2022 Q2 2022 Q3 2022 Q4
Net sales1 5 4374 6564 4124 5234 6354 906
EBITDA ------
Operating profit (EBIT)1 ---538328305462
Operating Margin ---12,2%7,25%6,57%9,42%
Pre-Tax Profit (EBT)1 1 0081 008-428537564703
Net income1 434-2 007-273323343362
Net margin 7,98%-43,1%-6,19%7,15%7,41%7,39%
EPS2 0,16-0,80-0,100,120,130,13
Dividend per Share ------
Announcement Date 11/04/202102/10/202204/27/2022---
1 CHF in Million
2 CHF
Previous periodNext period
Estimates
Balance Sheet Analysis
Fiscal Period: December 2019 2020 2021 2022 2023 2024
Net Debt 78 511-----
Net Cash position ------
Leverage (Debt / EBITDA) ------
Free Cash Flow ------
ROE (Net Profit / Equities) 7,70%5,90%-3,60%3,83%5,71%6,38%
Shareholders' equity1 44 40345 23743 66710 80036 23041 540
ROA (Net Profit / Asset) 0,46%0,34%-0,20%0,13%0,29%0,35%
Assets1 739 243785 000774 384321 999721 802761 472
Book Value Per Share2 17,917,717,117,418,118,9
Cash Flow per Share ------
Capex ------
Capex / Sales ------
Announcement Date 02/13/202002/18/202102/10/2022---
1 CHF in Million
2 CHF
Previous periodNext period
Estimates
Key data
Capitalization (CHF) 13 864 305 215
Capitalization (USD) 14 401 480 435
Net sales (CHF) 24 608 000 000
Net sales (USD) 25 561 441 778
Number of employees 51 030
Sales / Employee (CHF) 482 226
Sales / Employee (USD) 500 910
Free-Float 96,3%
Free-Float capitalization (CHF) 13 355 414 559
Free-Float capitalization (USD) 13 872 872 711
Avg. Exchange 20 sessions (CHF) 87 360 515
Avg. Exchange 20 sessions (USD) 90 745 315
Average Daily Capital Traded 0,63%
EPS & Dividend
Year-on-year evolution of the PER
Year-on-year evolution of the Yield