Barry Callebaut 5-year results overview

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Barry Callebaut 5-year results overview

Barry Callebaut's financial results 5-year overview from fiscal year 2017/18 to fiscal year 2021/22

Key figures Barry Callebaut Group

Consolidated Income Statement

   

CAGR (%)

2021/22

2020/21

2019/20

2018/19

2017/18

Consolidated Income Statement

             

Sales volume

Tonnes

3.2%

2,306,681

2,191,572

2,095,982

2,139,758

2,035,857

Sales revenue

CHF m

3.9%

8,091.9

7,207.6

6,893.1

7,309.0

6,948.4

Gross profit

CHF m

1.3%

1,217.2

1,147.2

1,063.7

1,197.2

1,157.1

EBITDA (recurring)2

CHF m

4.3%

860.6

795.2

711.9

775.0

728.3

Operating profit (EBIT)

CHF m

0.0%

553.5

566.7

483.2

601.2

554.0

Operating profit (EBIT, recurring)1

CHF m

3.0%

624.7

566.7

491.0

601.2

554.0

EBIT (recurring)1 / sales revenue

%

 

7.7%

7.9%

7.1%

8.2%

8.0%

EBIT (recurring)1 per tonne

CHF

(0.1)%

270.8

258.6

234.2

281.0

272.1

Net profit for the year

CHF m

0.2%

360.9

384.5

311.5

368.7

357.4

Net profit for the year (recurring)1

CHF m

4.6%

428.5

384.5

319.3

394.7

357.4

Free cash flow

CHF m

 

266.2

355.0

317.0

289.7

311.9

Adjusted Free cash flow2

CHF m

 

358.5

314.9

403.8

256.8

316.6

1 Please refer to page 175 of the Annual Report for the detailed recurring results reconciliation.

2 Adjusted Free cash flow is adjusted for the cash flow impact of cocoa bean inventories regarded by the Group as readily marketable inventories.

Consolidated Balance Sheet

   

CAGR (%)

2021/22

2020/21

2019/20

2018/19

2017/18

Consolidated Balance Sheet

             

Net working capital

CHF m

4.7%

1,293.1

1,241.8

1,192.0

1,363.2

1,074.4

Non-current assets

CHF m

4.6%

3,001.6

2,977.9

2,800.1

2,650.0

2,505.5

Capital expenditure

CHF m

6.1%

275.9

275.2

280.9

279.6

217.9

Total assets

CHF m

7.4%

7,760.9

7,244.0

7,141.1

6,508.1

5,832.0

Net debt

CHF m

2.8%

1,199.0

1,281.3

1,365.9

1,304.7

1,074.3

Shareholders’ equity

CHF m

6.3%

2,902.0

2,682.9

2,353.5

2,399.3

2,269.8

Key Debt Ratios

   

CAGR (%)

2021/22

2020/21

2019/20

2018/19

2017/18

Ratios

             

Return on invested capital (ROIC)3

%

 

11.5%

12.2%

10.3%

12.5%

12.2%

Return on invested capital (ROIC) recurring1

%

 

13.2%

12.2%

10.6%

12.5%

12.2%

Return on equity (ROE)3

%

 

12.4%

14.3%

13.2%

15.2%

15.7%

Return on equity (ROE) recurring1

%

 

14.8%

14.3%

13.6%

16.3%

15.7%

Debt to equity ratio

%

 

41.3%

47.8%

58.0%

54.4%

47.3%

Interest coverage ratio

   

6.5

7.8

6.9

5.2

7.2

Net debt / EBITDA (recurring)1

   

1.4

1.7

1.9

1.5

1.5

Capital expenditure / sales revenue

%

 

3.4%

3.8%

4.1%

3.8%

3.1%

1 Please refer to page 175 of the Annual Report for the detailed recurring results reconciliation.
3 From fiscal year 2018/19 onwards calculated based on Pro-forma (IFRS 16) and from fiscal year 2017/18 onwards calculated based on Pro-forma (IFRS 15).

Shares

   

CAGR (%)

2021/22

2020/21

2019/20

2018/19

2017/18

Shares

             

Share price at fiscal year-end

CHF

3.8%

2,004

2,334

2,000

2,024

1,728

Number of shares issued

   

5,488,858

5,488,858

5,488,858

5,488,858

5,488,858

Market capitalization at year-end

CHF m

3.8%

10,999.7

12,811.0

10,977.7

11,109.4

9,484.7

EBIT (recurring)1 per share

CHF

3.1%

114.0

103.4

89.6

109.7

101.0

Basic earnings per share

CHF

0.3%

65.8

70.0

57.7

67.6

64.9

Cash earnings per share

CHF

 

48.6

64.8

57.8

52.9

56.9

Payout per share

CHF

3.9%

28.0

28.0

22.0

26.0

24.0

Payout ratio

%

 

43%

40%

39%

39%

37%

Price-earnings ratio at year-end

   

30.4

33.3

34.7

30.0

26.6

1 Please refer to page 175 of the Annual Report for the detailed recurring results reconciliation.

Other

   

CAGR (%)

2021/22

2020/21

2019/20

2018/19

2017/18

Other

             

Employees

 

3.8%

13,418

12,783

12,355

12,257

11,570

Beans processed

Tonnes

1.1%

1,000,080

987,991

982,725

1,002,025

956,440

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