Financial Report
Vetropack Group

At a Glance

 

 

+/–

2022

2021

Net Sales

CHF millions

10.2%

899.4

816.5

EBIT

CHF millions

9.2%

89.1

81.6

Consolidated Profit

CHF millions

– 36.2%

40.7

63.8

Cash Flow*

CHF millions

– 7.7%

142.2

154.1

Investments

CHF millions

63.3%

194.6

119.2

Production

1 000 metric tons

– 7.7%

1 503

1 629

Unit Sales

billion units

– 10.6%

5.26

5.88

Exports (in unit terms)

%

47.2

45.5

Workforce

FTE

– 8.6%

3 561

3 896

* operating cash flow before change of net working capital