Key figures

Key figures for the Axpo Group (1 October 2023 – 30 September 2024).

  2023/24 (in CHF million) 2022/23 (in CHF million)
Total income  7,635 10,451
Earnings before interest and taxes (EBIT) 1,754 4,192
as % of total income 23.0% 40.1%
Adjusted EBIT 1,848 2,689
as % of total income 24.2%  25.7%
Result for the period (profit)  1,509 3,389
as % of total income 19.8% 32.4%
Cash flow from operating activities 1,466 3,859
Net investments in non-current assets
(excluding loan receivables)
-367 -93
Total assets 34,025 41,344
Net financial position 1,791 390
Equity including non-controlling interests 13,151 11,565
Employees (full-time equivalents) 7,023 6,420

Axpo Group key figures in the first half of financial year 2023/24 (1 October 2023 to 31 March 2024).

  HY 2023/24 (in CHF million) HY 2022/23 (in CHF million)
Total income  4,217 6,503
Earnings before interest and taxes (EBIT) 1,297 3,854
as % of total income 30.8% 59.3%
Adjusted EBIT 1,476 2,242
as % of total income 35.0%  34.5%
Result for the period (profit)  1,221 3,214
as % of total income 29.0% 49.4%
Cash flow from operational activities 359 1,515
Net investments in non-current assets
(excluding loan receivables)
-134 -192
Total assets 38,093 53,701
Net financial position 681 -2,608
Equity including non-controlling interests 12,848 11,044
Employees (full-time equivalents) 6,689 6,260