Compagnie Financière Richemont SA
Income Statement

Last updated:

Income statement is a financial statement that shows how profitable a business was over a given reporting period presenting its revenue, expenses or net income. Compagnie Financière Richemont SA's past years’ income statements indicate that its last revenue has increased compared to the previous period by 8% to $20,616,000,000. The net income raised on $2,362,000,000 and profit margin reached 11%. Total operating expenses were $9,242,000,000.

Profit Margin

Compagnie Financière Richemont SA (OTC:CFRUY): Profit margin
2015 10.41B 1.33B 12.81%
2016 10.72B 1.53B 14.34%
2017 10.91B 1.21B 11.08%
2018 10.46B 1.22B 11.67%
2019 14.41B 2.78B 19.31%
2020 14.41B 933M 6.47%
2021 13.03B 1.30B 9.98%
2022 17.57B 2.07B 11.8%
2023 19.14B 313M 1.63%
2024 20.61B 2.36B 11.46%

CFRUY Income Statement (2015 – 2024)

2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Revenue
Revenue
20.61B19.14B17.57B13.03B14.41B14.41B10.46B10.91B10.72B10.41B
Cost of revenue
6.66B6.03B5.99B5.58B6.03B5.81B3.68B4.00B3.89B3.53B
Gross profit
13.94B13.11B11.58B7.44B8.37B8.60B6.77B6.90B6.83B6.87B
Operating exp.
Research and development
90.43M87.31M83.96M64.44M89.10M92.76M80.76M87.16M75.54M59M
Selling and marketing
5B4.68B3.93B3.24B3.51B3.43B3.09B3.04B2.95B2.55B
Total operating expenses
9.24B8.21B7.43B5.91B6.74B6.48B4.94B5.24B4.79B4.44B
Operating income
4.79B4.89B4.15B1.53B1.63B2.12B1.83B1.66B2.03B2.67B
Other income (expenses), net
-139M-273M-1.09B-47.59M-365M-308.20M-220.44M-18M-36.80M-731M
Income before tax
4.65B4.52B3.05B1.49B1.19B1.81B1.60B1.64B1.99B1.70B
Income tax expense
837M812.73M518.48M224.07M270.34M392.72M410.48M369.17M358.35M369M
Net income
2.36B313M2.07B1.30B933M2.78B1.22B1.21B1.53B1.33B
Earnings per share
Basic EPS
4.086.894.312.31.654.932.162.152.992.37
Diluted EPS
4.086.84.262.31.654.932.162.142.982.36