Key Figures

  Financial Statements
CHF 1 0001)20252024Change
Order intake2)472 768476 347-0.7%
Net sales442 086494 056-10.5%
Starrag division324 380365 587-11.3%
Tornos division117 706128 469-8.4%
EBITDA2)18 99127 533-31.0%
as % of net sales4.3%5.6% 
EBIT2)6 02215 423-61.0%
as % of net sales1.4%3.1% 
Net profit5 34411 850-54.9%
as % of net sales1.2%2.4% 
Cash flow from operating activities47 8347 720519.6%
Cash flow from investing activities-12 412-14 74915.8%
Free cash flow2)35 422-7 029 
  31.12.2025 31.12.2024 Change
Order backlog2) 336 369 326 026 3.2%
Net liquidity 29 607 -271 n.a.
Total equity 312 579 316 110 -1.1%
as % of balance sheet 59.6% 57.4%  
Total balance sheet 524 535 550 870 -4.8%
Outstanding shares 5 463 121 5 463 121 0.0%
Employees (full-time equivalents)3) 1 814 1 981 -8.4%
Selected key figures per share 2025 2024 Change
Net profit (CHF) 0.98 2.17 -54.9%
Dividend (CHF) 1.004) 1.00 0.0%
Payout ratio % 102.2% 46.1% 121.7%
Year-end price StarragTornos share (CHF) 29.7 37.0 -19.7%
P/E ratio on December 31 30.4 17.06 78.0%
StarragTornos blau