Vetropack in figures

2023 at a glance

in CHF millions

  31.12.2023 31.12.2022 +/-
Net Sales 898,8 899.4 -0.1%
EBIT 91.3 89.91 2.5%
Consolidated Profit 63.3 40.7 55.5%
Cash Flow* 130.1 142.2 -8.5%
Investments 238.0 194.6 22.3%
Employees (number) 3 772 3 676 2.6%

* Operating cash flow before change of net working capital