Swisscom

SCMN · SIX · CHF

639,00 CHFVariación respecto al cierre anterior: +1,19 %Variación absoluta: +7,50 CHF

Cierre · 2 de octubre de 2026

En resumen

Crecimiento de los ingresos
+36,59 %
2025 frente a 2024
Crecimiento del beneficio neto
−17,57 %
2025 frente a 2024
Margen neto
8,4 %
2024: 14,0 %

Datos financieros

Importes en millones de CHF; valores por acción en CHF; acciones en millones.

Balance · Trimestral
PartidaT2 2026T1 2026T4 2025T3 2025T2 2025T1 2025T4 2024T3 2024T2 2024T1 2024T4 2023T3 2023
Activo total34.78835.97936.02335.56735.90737.25937.84530.04929.59125.56624.75024.832
Activo corriente4.4925.4645.1284.8174.9555.8856.4119.0118.5394.2403.7183.858
Efectivo y equivalentes2156612581931549941.5233.2524.312345148127
Inversiones a corto plazo40,043659847,046,053,066,02.17547760,050,063,0
Cuentas por cobrar2.9262.9723.0823.1403.1903.2103.4742.3272.3812.4222.5032.422
Existencias218205189234272283271138169189161156
Inmovilizado material neto17.33517.40716.18217.61817.69817.82716.43213.30613.25713.23912.06112.900
Fondo de comercio6.5576.5516.5756.4336.3886.4886.5965.1845.1955.2035.1725.193
Otros activos intangibles5.4075.5245.6825.7335.8476.0866.0491.7111.7421.7871.7371.751
Inversiones a largo plazo534546536492588579655540553778772845
Pasivo corriente7.2447.0656.7486.7326.7186.9047.6004.2704.1874.5194.3454.611
Proveedores2.2942.4782.3862.4582.6142.7642.6471.5181.5091.6371.6111.532
Deuda a largo plazo11.13212.80111.77311.80712.47712.47312.50010.06410.0045.0354.9475.155
Deuda total3.4803.5833.729—3.7343.950——————
Pasivo total23.27224.82223.78523.59624.31424.66125.69118.14118.01213.37613.12813.479
Patrimonio neto (incl. minoritarios)11.51611.15712.23811.97111.59312.59812.15411.90811.57912.19011.62211.353
Reservas13.54613.20314.21613.92113.55614.44214.07013.82213.38913.97113.52913.158
Intereses minoritarios-2,0-2,0-1,0-1,0-1,00,0—2,03,010,03,03,0