REPOWER

Financial highlights

Financial highlights 2010 2010
Restated
2011 Change
  CHF million        
  Revenue and income        
  Total operating revenue 2,267 2,267 2,523 + 11 %
  Income before interest and income taxes (EBIT) 163 159 130 - 18 %
  Group profit including minority interests 80 77 54 - 30 %
           
  Balance sheet and cash flows        
  Balance sheet total at 31 December 2,274 2,269 2,367 + 4 %
  Equity at 31 December 922 916 965 + 5 %
  Equity ratio 41 % 40 % 41 %