Swiss Re financials at a glance

Year Year 2004 2005 2006 2007 2008 2009 2010 2011 2012 2013 2014 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Rev. Revenue
CHF36.09B CHF38.01B CHF41.37B CHF43.41B CHF25.36B CHF31.23B CHF29.00B CHF28.19B CHF33.65B CHF36.93B CHF37.38B CHF35.74B CHF43.81B CHF42.50B CHF37.06B CHF49.33B CHF43.35B CHF46.74B CHF46.00B CHF49.46B CHF0.00M
GM % Gross Margin %
18.24% 14.84% 26.76% 26.75% 14.76% 16.54% 22.28% 24.41% 28.24% 24.69% 21.77% 25.81% 19.08% 10.37% 12.28% 10.32% 7.16% 12.64% 9.99% 16.97% 0.00%
OM Operating Margin
9.33% 6.73% 18.08% 17.36% 2.10% 9.71% 13.83% 13.66% 18.69% 15.31% 13.36% 16.72% 11.41% 2.59% 3.02% 3.06% -1.14% 5.14% 2.67% 9.41% 0.00%
EPS Earnings Per Share
CHF7.32 CHF11.17 CHF12.40 CHF9.07 CHF11.91 CHF10.47 CHF0.74 CHF2.85 CHF2.39 CHF-3.04 CHF4.97 CHF1.63 CHF11.01 CHF0.00
Div. Dividends
CHF0.00 CHF0.00 CHF0.00 CHF0.00 CHF0.00 CHF0.00 CHF0.00 CHF3.04 CHF8.06 CHF8.98 CHF7.65 CHF4.25 CHF4.81 CHF5.35 CHF5.59 CHF6.00 CHF5.90 CHF6.36 CHF6.40 CHF7.01 CHF0.00
PR % Payout Ratio %
0 0 0 0 0 0 0 41.53% 72.16% 72.42% 84.34% 35.68% 45.94% 722.97% 196.14% 251.05% -194.08% 127.97% 392.64% 63.67% 0
Sha. Shares
310.38m 310.39m 358.21m 350.02m 332.65m 342.85m 342.71m 343.18m 342.68m 343.15m 342.19m 342.2m 327.11m 310.33m 306.91m 288.83m 278.92m 288.98m 288.95m 0m 290.4m
OCF Operating Cash Flow
CHF6.57B CHF1.97B CHF1.52B CHF-3330.00M CHF-6089.00M CHF-7696.00M CHF-6086.00M CHF1.50B CHF4.50B CHF2.28B CHF4.40B CHF5.41B CHF6.12B CHF1.30B CHF1.57B CHF4.40B CHF5.39B CHF4.10B CHF2.93B CHF0.00M CHF0.00M
FCF Free Cash Flow
CHF0.00M CHF0.00M CHF0.00M CHF0.00M CHF0.00M CHF0.00M CHF0.00M CHF0.00M CHF972.00M CHF1.94B CHF0.00M CHF0.00M CHF0.00M CHF0.00M CHF0.00M CHF0.00M CHF3.12B CHF4.10B CHF2.25B CHF1.80B CHF0.00M
FCFS Free Cash Flow Per Share
CHF21.23 CHF6.36 CHF4.49 CHF-9.56 CHF-18.39 CHF-22.67 CHF-17.77 CHF4.38 CHF13.11 CHF6.66 CHF12.85 CHF15.83 CHF18.43 CHF4.06 CHF5.12 CHF14.87 CHF18.66 CHF14.20 CHF10.13 CHF0.00 CHF0.00