Financial Report
Vetropack Group

At a Glance

 

 

+/–

2021

2020

Net Sales

CHF millions

23.2%

816.5

662.6

EBIT

CHF millions

7.2%

81.6

76.1

Consolidated Profit

CHF millions

– 21.4%

63.8

81.2

Cash Flow*

CHF millions

9.1%

154.1

141.2

Investments

CHF millions

61.7%

119.2

73.7

Production

1 000 metric tons

15.0%

1 629

1 416

Unit Sales

billion units

20.9%

5.88

4.86

Exports (in unit terms)

%

45.5

43.1

Employees

number

0.4%

3 896

3 882

* operating cash flow before change of net working capital