REPOWER

Key financials

Key financials 1st half-year 2011 1st half-year 2012 Change
  CHF million      
  Revenue and income      
  Total operating revenue 1,230 1,168 - 5 %
  Income before interest and income taxes (EBIT) 58 53 - 9 %
  Group profit including minority interests 32 20 - 37 %
         
  Balance sheet and cash flows      
  Balance sheet total at 30. 06. 2,425 2,314 - 5 %
  Equity at 30. 06. 915 970 + 6 %
  Equity ratio 38 % 42 %