Consolidated Income Statement
|
|
2023 |
2022 |
|
Details |
CHF 1000 |
CHF 1000 |
Net sales from deliveries and services |
|
372 923 |
366 458 |
Other operating income |
12 |
17 807 |
24 449 |
Changes in work in progress |
|
2 984 |
3 143 |
Total operating income |
13 |
393 714 |
394 050 |
Personnel expenses |
14/15/20 |
–123 505 |
–115 218 |
Administration |
|
–20 919 |
–22 893 |
Maintenance, repairs |
|
–10 986 |
–12 292 |
Insurance, ground rent, rents |
|
–21 010 |
–17 634 |
Energy |
|
–5 615 |
–5 406 |
Furnishing expenses, stand construction |
|
–160 707 |
–165 756 |
Exhibition and conference operations |
|
–17 305 |
–29 777 |
Advertising, press, public relations |
|
–16 173 |
–10 764 |
Other operating expenses |
|
–5 176 |
–284 |
Loss from disposal of investments |
|
0 |
–11 |
Result before interests, taxes and depreciations (EBITDA) |
13 |
12 318 |
14 015 |
Depreciation and impairment on tangible fixed assets |
6 |
–11 181 |
–16 370 |
Depreciation and impairment on intangible fixed assets |
8 |
–2 439 |
–11 370 |
Operating result (EBIT) |
13 |
–1 302 |
–13 725 |
Result of associated organizations |
|
–38 |
–198 |
Financial result |
16 |
–6 458 |
–991 |
Loss before income taxes |
|
–7 798 |
–14 914 |
Income tax |
17 |
–6 246 |
5 644 |
Loss for the year |
|
–14 044 |
–9 270 |
of which attributable to non-controlling interests |
|
–1 273 |
–261 |
of which attributable to the shareholders of the parent company |
|
–12 771 |
–9 009 |
|
|
|
|
Undiluted result per share in CHF |
18 |
–0.41 |
–0.49 |
Diluted result per share in CHF |
18 |
–0.41 |
–0.49 |