av/hypo-lenzb-n--big.svg

SIX:HBLN

Hypothekarbank Lenzburg AG

  • Stock

CHF

Last Close

4,040.00

08/11 16:31

Market Cap

308.93M

Beta: 0.11

Volume Today

16

Avg: 25

PE Ratio

16.88

PFCF: 2.12

Dividend Yield

2.63%

Payout:0%

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
21.40M
-
21.20M
0.95%
21.26M
0.29%
21.63M
1.74%
22.08M
2.09%
20.83M
5.63%
21.05M
1.03%
18.08M
14.12%
18.25M
0.96%
18.63M
2.07%
21.28M
14.25%
depreciation and amortization
6.26M
-
8.18M
30.56%
5.46M
-
6.32M
15.93%
8.91M
40.92%
9.71M
8.94%
12.68M
30.56%
14.09M
11.14%
4.45M
68.42%
6.92M
55.43%
deferred income tax
stock based compensation
change in working capital
-12.36M
-
127.57M
1,131.79%
accounts receivables
inventory
accounts payables
other working capital
other non cash items
-79.74M
-
-130.30M
63.41%
-21.26M
83.69%
-27.08M
27.40%
-28.40M
4.87%
-29.75M
4.73%
-21.05M
29.24%
-5.40M
74.34%
-4.16M
22.94%
-14.18M
240.68%
-14.37M
1.33%
net cash provided by operating activities
-64.44M
-
26.64M
141.35%
5.46M
-
6.32M
15.93%
8.91M
40.92%
9.71M
8.94%
25.35M
161.12%
28.18M
11.14%
8.90M
68.42%
13.83M
55.43%
investments in property plant and equipment
-1.51M
-
-1.71M
13.59%
-1.60M
-
-5.42M
238.73%
acquisitions net
purchases of investments
-5K
-
sales maturities of investments
other investing activites
18.50M
-
35.85M
93.72%
5.42M
-
net cash used for investing activites
18.50M
-
35.85M
93.77%
-1.60M
-
-5.42M
238.73%
debt repayment
-55.79M
-
common stock issued
common stock repurchased
dividends paid
-7.92M
-
-7.92M
0%
other financing activites
116.50M
-
85.75M
26.40%
net cash used provided by financing activities
52.80M
-
77.83M
47.42%
effect of forex changes on cash
net change in cash
6.85M
-
140.32M
1,947.29%
3.85M
-
901K
76.62%
8.91M
889.12%
9.71M
8.94%
25.35M
161.12%
28.18M
11.14%
8.90M
68.42%
13.83M
55.43%
cash at beginning of period
135.71M
-
142.56M
5.05%
cash at end of period
142.56M
-
282.88M
98.43%
3.85M
-
901K
76.62%
8.91M
889.12%
9.71M
8.94%
25.35M
161.12%
28.18M
11.14%
8.90M
68.42%
13.83M
55.43%
operating cash flow
-64.44M
-
26.64M
141.35%
5.46M
-
6.32M
15.93%
8.91M
40.92%
9.71M
8.94%
25.35M
161.12%
28.18M
11.14%
8.90M
68.42%
13.83M
55.43%
capital expenditure
-1.51M
-
-1.71M
13.59%
-1.60M
-
-5.42M
238.73%
free cash flow
-65.95M
-
24.93M
137.80%
3.85M
-
901K
76.62%
8.91M
889.12%
9.71M
8.94%
25.35M
161.12%
28.18M
11.14%
8.90M
68.42%
13.83M
55.43%

All numbers in CHF (except ratios and percentages)