Institutional Sign In

Go

DocMorris

Zur Rose's employees rose 7.13% yoy to 2,283 in 2022

By Helgi Library - May 22, 2023

Zur Rose employed 2,283 employees in 2022, up 7.13% compared to the previous year. Historically, between 2010 and 2022,...

Zur Rose's employees rose 7.13% yoy to 2,283 in 2022

By Helgi Library - May 22, 2023

Zur Rose employed 2,283 employees in 2022, up 7.13% compared to the previous year. Historically, between 2010 and 2022,...

Zur Rose's net profit rose 24.2% yoy to CHF -171 mil in 2022

By Helgi Library - May 22, 2023

Zur Rose made a net profit of CHF -171 mil with revenues of CHF 1,608 mil in 2022, up by 24.2% and down by 6.77%, r...

Profit Statement Jun 2019 Sep 2019 Dec 2019
Sales CHF mil 336 344 344
EBITDA CHF mil -1.23 -5.69 -5.69
EBIT CHF mil -8.59 -14.3 -14.3
Financing Cost CHF mil 1.10 1.11 1.11
Pre-Tax Profit CHF mil -8.46 -16.6 -16.6
Net Profit CHF mil -8.60 -17.6 -17.6
Dividends CHF mil 0 0 0
Balance Sheet Jun 2019 Sep 2019 Dec 2019
Total Assets CHF mil 815 904 992
Non-Current Assets CHF mil 523 543 564
Current Assets CHF mil 293 360 428
Working Capital CHF mil 71.9 88.5 105
Shareholders' Equity CHF mil 445 425 406
Liabilities CHF mil 370 478 586
Total Debt CHF mil 176 307 438
Net Debt CHF mil 84.6 159 233
Ratios Jun 2019 Sep 2019 Dec 2019
ROE % -7.73 -16.2 -17.0
ROCE % -6.34 -11.5 -10.8
EBITDA Margin % -0.367 -1.66 -1.66
EBIT Margin % -2.56 -4.17 -4.17
Net Margin % -2.56 -5.13 -5.13
Net Debt/EBITDA -11.3 -14.9 -16.8
Net Debt/Equity % 19.0 37.3 57.4
Cost of Financing % 2.59 1.84 1.19
Valuation Jun 2019 Sep 2019 Dec 2019

Get all company financials in excel:

Download Sample   $19.99

overview Unit Mar 2009 Jun 2009 Sep 2009 Dec 2009 Mar 2010 Jun 2010 Sep 2010 Dec 2010 Mar 2011 Jun 2011 Sep 2011 Dec 2011 Mar 2012 Jun 2012 Sep 2012 Dec 2012 Mar 2013 Jun 2013 Sep 2013 Dec 2013 Mar 2014 Jun 2014 Sep 2014 Dec 2014 Mar 2015 Jun 2015 Sep 2015 Dec 2015 Mar 2016 Jun 2016 Sep 2016 Dec 2016 Mar 2017 Jun 2017 Sep 2017 Dec 2017 Mar 2018 Jun 2018 Sep 2018 Dec 2018 Mar 2019 Jun 2019 Sep 2019 Dec 2019
income statement                                                                                        
Sales CHF mil                                                                           303 302 302 332 336    
EBIT CHF mil                                                                           -8.40 -8.08 -8.08 -8.49 -8.59    
Net Profit CHF mil                                                                           -8.80 -10.7 -10.7 -8.50 -8.60    
                                                                                           
ROE % ... ... ... ...                                                                   -12.5 -13.4 -10.7 -7.66 -7.73    
EBIT Margin %                                                                           -2.77 -2.67 -2.67 -2.56 -2.56    
Net Margin %                                                                           -2.91 -3.55 -3.55 -2.56 -2.56    
Employees ... ... ...           ... ... ... ... ... ... ...                                             1,209 1,262 1,314 1,412 1,510    
balance sheet                                                                                        
Total Assets CHF mil ... ... ...                                                                     450 588 727 771 815    
Non-Current Assets CHF mil ... ... ...                                                                     195 253 310 416 523    
Current Assets CHF mil ... ... ...                                                                     255 336 417 355 293    
                                                                                           
Shareholders' Equity CHF mil ... ... ...                                                                     278 361 444 444 445    
Liabilities CHF mil ... ... ...                                                                     173 228 283 326 370    
Non-Current Liabilities CHF mil ... ... ...                                                                     45.2 105 164 168 171    
Current Liabilities CHF mil ... ... ...                                                                     127 123 119 159 199    
                                                                                           
Net Debt/EBITDA ... ... ...                                                                     1.83 3.58 5.90 -0.052 -11.3    
Net Debt/Equity % ... ... ...                                                                     -12.3 -16.2 -18.6 0.126 19.0    
Cost of Financing % ... ... ... ...                                                                   4.88 2.50 1.41 2.80 2.59    
cash flow                                                                                        
Total Cash From Operations CHF mil                                                                           -6.74 -9.91 -9.91 -7.61 -7.69    
Total Cash From Investing CHF mil                                                                           -8.75 -61.4 -61.4 -59.6 -60.2    
Total Cash From Financing CHF mil                                                                           -0.227 149 149 -1.24 -1.26    
Net Change In Cash CHF mil                                                                           -16.1 77.4 77.4 -69.3 -70.0    
income statement Unit Mar 2009 Jun 2009 Sep 2009 Dec 2009 Mar 2010 Jun 2010 Sep 2010 Dec 2010 Mar 2011 Jun 2011 Sep 2011 Dec 2011 Mar 2012 Jun 2012 Sep 2012 Dec 2012 Mar 2013 Jun 2013 Sep 2013 Dec 2013 Mar 2014 Jun 2014 Sep 2014 Dec 2014 Mar 2015 Jun 2015 Sep 2015 Dec 2015 Mar 2016 Jun 2016 Sep 2016 Dec 2016 Mar 2017 Jun 2017 Sep 2017 Dec 2017 Mar 2018 Jun 2018 Sep 2018 Dec 2018 Mar 2019 Jun 2019 Sep 2019 Dec 2019
income statement                                                                                        
Sales CHF mil                                                                           303 302 302 332 336    
Selling, General & Admin CHF mil                                                                           16.5 16.7 16.7 21.7 22.0    
Research & Development CHF mil                                                                           0 0 0 0 0    
Other Operating Expense CHF mil                                                                           308 306 306 346 349    
Staff Cost CHF mil                                                                           23.6 23.4 23.4 29.8 30.1    
Other Operating Cost (Income) CHF mil                                                                           0.394 1.14 1.14 12.0 12.2    
EBITDA CHF mil                                                                           -4.50 -2.52 -2.52 -1.22 -1.23    
Depreciation CHF mil                                                                           1.23 1.24 1.24 1.26 1.27    
EBIT CHF mil                                                                           -8.40 -8.08 -8.08 -8.49 -8.59    
Net Financing Cost CHF mil                                                                           0.364 0.368 0.368 1.07 1.08    
Financing Cost CHF mil                                                                           0.423 0.428 0.428 1.08 1.10    
Financing Income CHF mil                                                                           0.059 0.060 0.060 0.013 0.013    
FX (Gain) Loss CHF mil                                                                           0.969 0.979 0.979 -0.330 -0.334    
(Income) / Loss from Affiliates CHF mil                                                                           -0.004 -0.083 -0.083 -0.056 -0.057    
Extraordinary Cost CHF mil                                                                           0 0 0 0 0    
Pre-Tax Profit CHF mil                                                                           -8.74 -10.6 -10.6 -8.36 -8.46    
Tax CHF mil                                                                           0.106 0.172 0.172 0.133 0.134    
Minorities CHF mil                                                                           -0.041 -0.024 -0.024 0.008 0.008    
Net Profit CHF mil                                                                           -8.80 -10.7 -10.7 -8.50 -8.60    
Net Profit Avail. to Common CHF mil                                                                           -8.80 -10.7 -10.7 -8.50 -8.60    
Dividends CHF mil                                                                           0 0 0 0 0    
growth rates                                                                                        
Total Revenue Growth % ... ... ... ...                                                                   29.4 16.9 16.9 10.9 10.9    
Operating Cost Growth % ... ... ... ...                                                                   27.5 14.4 14.4 14.4 14.4    
Staff Cost Growth % ... ... ... ...                                                                   24.6 15.0 15.0 27.7 27.7    
EBITDA Growth % ... ... ... ...                                                                   -22.4 -47.7 -47.7 -72.6 -72.6    
EBIT Growth % ... ... ... ...                                                                   -1.46 -24.3 -24.3 2.24 2.24    
Pre-Tax Profit Growth % ... ... ... ...                                                                   -0.275 11.0 11.0 -3.26 -3.26    
Net Profit Growth % ... ... ... ...                                                                   -3.13 18.2 18.2 -2.35 -2.35    
ratios                                                                                        
ROE % ... ... ... ...                                                                   -12.5 -13.4 -10.7 -7.66 -7.73    
ROA % ... ... ... ...                                                                   -7.77 -8.26 -6.53 -4.54 -4.34    
ROCE % ... ... ... ...                                                                   -13.6 -14.7 -12.0 -7.74 -6.34    
EBITDA Margin %                                                                           -1.49 -0.835 -0.835 -0.367 -0.367    
EBIT Margin %                                                                           -2.77 -2.67 -2.67 -2.56 -2.56    
Net Margin %                                                                           -2.91 -3.55 -3.55 -2.56 -2.56    
Payout Ratio %                                                                           0 0 0 0 0    
Cost of Financing % ... ... ... ...                                                                   4.88 2.50 1.41 2.80 2.59    
Net Debt/EBITDA ... ... ...                                                                     1.83 3.58 5.90 -0.052 -11.3    
balance sheet Unit Mar 2009 Jun 2009 Sep 2009 Dec 2009 Mar 2010 Jun 2010 Sep 2010 Dec 2010 Mar 2011 Jun 2011 Sep 2011 Dec 2011 Mar 2012 Jun 2012 Sep 2012 Dec 2012 Mar 2013 Jun 2013 Sep 2013 Dec 2013 Mar 2014 Jun 2014 Sep 2014 Dec 2014 Mar 2015 Jun 2015 Sep 2015 Dec 2015 Mar 2016 Jun 2016 Sep 2016 Dec 2016 Mar 2017 Jun 2017 Sep 2017 Dec 2017 Mar 2018 Jun 2018 Sep 2018 Dec 2018 Mar 2019 Jun 2019 Sep 2019 Dec 2019
balance sheet                                                                                        
Cash & Cash Equivalents CHF mil ... ... ...                                                                     76.0 153 231 162 91.6    
Receivables CHF mil ... ... ...                                                                     94.6 93.4 92.3 95.7 99.2    
Unbilled Revenues CHF mil ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ...     4.33 4.13 3.93 3.06 2.18    
Inventories CHF mil ... ... ...                                                                     60.7 65.1 69.4 68.9 68.4    
Other ST Assets CHF mil ... ... ...                                                                     39.5 29.9 20.3 36.8 53.5    
Current Assets CHF mil ... ... ...                                                                     255 336 417 355 293    
Property, Plant & Equipment CHF mil ... ... ...                                                                     35.4 34.9 34.3 44.3 54.5    
LT Investments & Receivables CHF mil ... ... ...                                                                     0.897 0.989 1.08 1.35 1.63    
Intangible Assets CHF mil ... ... ...                                                                     149 207 265 360 456    
Goodwill CHF mil ... ... ...                                                                     127 150 172 212 253    
Non-Current Assets CHF mil ... ... ...                                                                     195 253 310 416 523    
Total Assets CHF mil ... ... ...                                                                     450 588 727 771 815    
                                                                                           
Trade Payables CHF mil ... ... ...                                                                     90.0 86.6 83.1 89.4 95.7    
Short-Term Debt CHF mil ... ... ...                                                                     10.8 7.15 3.52 32.6 62.0    
Other ST Liabilities CHF mil ... ... ...                                                                     10.1 9.80 9.53 12.2 14.9    
Current Liabilities CHF mil ... ... ...                                                                     127 123 119 159 199    
Long-Term Debt CHF mil ... ... ...                                                                     31.2 87.9 145 130 114    
Other LT Liabilities CHF mil ... ... ...                                                                     14.1 16.6 19.2 38.1 57.2    
Non-Current Liabilities CHF mil ... ... ...                                                                     45.2 105 164 168 171    
Liabilities CHF mil ... ... ...                                                                     173 228 283 326 370    
Preferred Equity and Hybrid Capital CHF mil ... ... ...                                                                     0 0 0 0 0    
Share Capital CHF mil ... ... ...                                                                     35.8 41.9 48.1 154 262    
Treasury Stock CHF mil ... ... ...                                                                     1.15 3.30 5.45 5.36 5.27    
Equity Before Minority Interest CHF mil ... ... ...                                                                     278 361 444 444 445    
Minority Interest CHF mil ... ... ...                                                                     0.194 0.112 0.030 -0.037 -0.105    
Equity CHF mil ... ... ...                                                                     278 361 444 444 445    
growth rates                                                                                        
Total Asset Growth % ... ... ... ...                                                                   -1.25 30.6 23.5 6.09 5.80    
Shareholders' Equity Growth % ... ... ... ...                                                                   -2.89 29.9 23.0 0.188 0.189    
Net Debt Growth % ... ... ... ...                                                                   -47.2 71.1 41.5 -101 15,063    
Total Debt Growth % ... ... ... ...                                                                   52.4 127 55.9 9.38 8.67    
ratios                                                                                        
Total Debt CHF mil ... ... ...                                                                     41.9 95.1 148 162 176    
Net Debt CHF mil ... ... ...                                                                     -34.1 -58.3 -82.6 0.558 84.6    
Working Capital CHF mil ... ... ...                                                                     65.3 71.9 78.6 75.2 71.9    
Capital Employed CHF mil ... ... ...                                                                     261 324 388 491 595    
Net Debt/Equity % ... ... ...                                                                     -12.3 -16.2 -18.6 0.126 19.0    
Current Ratio ... ... ...                                                                     2.00 2.73 3.50 2.24 1.47    
Quick Ratio ... ... ...                                                                     1.34 2.00 2.72 1.62 0.960    
cash flow Unit Mar 2009 Jun 2009 Sep 2009 Dec 2009 Mar 2010 Jun 2010 Sep 2010 Dec 2010 Mar 2011 Jun 2011 Sep 2011 Dec 2011 Mar 2012 Jun 2012 Sep 2012 Dec 2012 Mar 2013 Jun 2013 Sep 2013 Dec 2013 Mar 2014 Jun 2014 Sep 2014 Dec 2014 Mar 2015 Jun 2015 Sep 2015 Dec 2015 Mar 2016 Jun 2016 Sep 2016 Dec 2016 Mar 2017 Jun 2017 Sep 2017 Dec 2017 Mar 2018 Jun 2018 Sep 2018 Dec 2018 Mar 2019 Jun 2019 Sep 2019 Dec 2019
cash flow                                                                                        
Net Profit CHF mil                                                                           -8.80 -10.7 -10.7 -8.50 -8.60    
Depreciation CHF mil                                                                           1.23 1.24 1.24 1.26 1.27    
Non-Cash Items CHF mil                                                                           0.473 2.16 2.16 -10.1 -10.2    
Change in Working Capital CHF mil                                                                           -2.30 -6.90 -6.90 3.75 3.79    
Total Cash From Operations CHF mil                                                                           -6.74 -9.91 -9.91 -7.61 -7.69    
                                                                                           
Capital Expenditures CHF mil                                                                           -8.75 -7.05 -7.05 -8.65 -8.75    
Net Change in LT Investment CHF mil                                                                           0 -0.225 -0.225 -0.027 -0.028    
Net Cash From Acquisitions CHF mil                                                                           0 -54.3 -54.3 -49.3 -49.9    
Other Investing Activities CHF mil                                                                           0 0.122 0.122 -1.57 -1.59    
Total Cash From Investing CHF mil                                                                           -8.75 -61.4 -61.4 -59.6 -60.2    
                                                                                           
Dividends Paid CHF mil                                                                           0 0 0 0 0    
Issuance Of Shares CHF mil                                                                           < -0.001 92.4 92.4 < -0.001 < -0.001    
Issuance Of Debt CHF mil                                                                           -0.226 56.4 56.4 -1.09 -1.10    
Other Financing Activities CHF mil                                                                           0 0 0 -0.156 -0.158    
Total Cash From Financing CHF mil                                                                           -0.227 149 149 -1.24 -1.26    
                                                                                           
Effect of FX Rates CHF mil                                                                           -0.343 0.029 0.029 -0.825 -0.835    
Net Change In Cash CHF mil                                                                           -16.1 77.4 77.4 -69.3 -70.0    
ratios                                                                                        
Days Sales Outstanding days ... ... ...                                                                     30.8 29.3 27.9 28.2 28.4    
Cash Earnings CHF mil                                                                           -7.58 -9.49 -9.49 -7.24 -7.33    
Free Cash Flow CHF mil                                                                           -15.5 -71.3 -71.3 -67.2 -67.9    
Capital Expenditures (As % of Sales) %                                                                           2.89 2.33 2.33 2.60 2.60    
other ratios Unit Mar 2009 Jun 2009 Sep 2009 Dec 2009 Mar 2010 Jun 2010 Sep 2010 Dec 2010 Mar 2011 Jun 2011 Sep 2011 Dec 2011 Mar 2012 Jun 2012 Sep 2012 Dec 2012 Mar 2013 Jun 2013 Sep 2013 Dec 2013 Mar 2014 Jun 2014 Sep 2014 Dec 2014 Mar 2015 Jun 2015 Sep 2015 Dec 2015 Mar 2016 Jun 2016 Sep 2016 Dec 2016 Mar 2017 Jun 2017 Sep 2017 Dec 2017 Mar 2018 Jun 2018 Sep 2018 Dec 2018 Mar 2019 Jun 2019 Sep 2019 Dec 2019
                                                                                         
Employees ... ... ...           ... ... ... ... ... ... ...                                             1,209 1,262 1,314 1,412 1,510    
Cost Per Employee USD per month ... ... ...           ... ... ... ... ... ... ...                                             6,202 6,075 6,056 5,970 5,975    
Cost Per Employee (Local Currency) CHF per month ... ... ...           ... ... ... ... ... ... ...                                             6,037 5,987 5,942 5,912 5,886    
Operating Cost (As % of Sales) %                                                                           103 103 103 106 106    
Research & Development (As % of Sales) %                                                                           0 0 0 0 0    
Staff Cost (As % of Sales) %                                                                           7.78 7.74 7.74 8.96 8.96    
Effective Tax Rate %                                                                           -1.21 -1.62 -1.62 -1.59 -1.59    
Total Revenue Growth (5-year average) % ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ...                                   5.94 5.66 5.66 8.04 8.04    
Total Revenue Growth (10-year average) % ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... ... 9.82 9.82    

Get all company financials in excel:

Download Sample   $19.99

Zur Rose's net profit rose 24.2% yoy to CHF -171 mil in 2022

By Helgi Library - May 22, 2023

Zur Rose made a net profit of CHF -171 mil with revenues of CHF 1,608 mil in 2022, up by 24.2% and down by 6.77%, respectively, compared to the previous year. This translates into a net margin of -10.6%. Historically, between 2010 - 2022, the fir...

Zur Rose's price/earnings (P/E) rose 84.2% yoy to -1.59 in 2022

By Helgi Library - May 22, 2023

Zur Rose stock traded at CHF 27.1 per share at the end 2022 translating into a market capitalization of USD 298 mil. Since the end of 2017, stock has depreciated by 78.1% representing an annual average growth of -26.2%. In absolute terms, the value of t...

Zur Rose's price/earnings (P/E) rose 84.2% yoy to -1.59 in 2022

By Helgi Library - May 22, 2023

Zur Rose stock traded at CHF 27.1 per share at the end 2022 translating into a market capitalization of USD 298 mil. Since the end of 2017, stock has depreciated by 78.1% representing an annual average growth of -26.2%. In absolute terms, the value of t...

Zur Rose's Net Profit per Customer rose 11.2% yoy to USD -18.0 in 2022

By Helgi Library - May 22, 2023

Zur Rose made a net profit of CHF -171 mil with revenues of CHF 1,608 mil in 2022, up by 24.2% and down by 6.77%, respectively, compared to the previous year. This translates into a net margin of -10.6%. On the operating level, EBITDA reached CHF -77.7 mil,...

Zur Rose's Net Profit per Customer rose 11.2% yoy to USD -18.0 in 2022

By Helgi Library - May 22, 2023

Zur Rose made a net profit of CHF -171 mil with revenues of CHF 1,608 mil in 2022, up by 24.2% and down by 6.77%, respectively, compared to the previous year. This translates into a net margin of -10.6%. On the operating level, EBITDA reached CHF -77.7 mil,...

Zur Rose's Net Margin rose 18.7% yoy to -10.6% in 2022

By Helgi Library - May 22, 2023

Zur Rose made a net profit of CHF -171 mil with revenues of CHF 1,608 mil in 2022, up by 24.2% and down by 6.77%, respectively, compared to the previous year. This translates into a net margin of -10.6%. Historically, between 2010 and 2022, the firm...

Zur Rose's Net Margin rose 18.7% yoy to -10.6% in 2022

By Helgi Library - May 22, 2023

Zur Rose made a net profit of CHF -171 mil with revenues of CHF 1,608 mil in 2022, up by 24.2% and down by 6.77%, respectively, compared to the previous year. This translates into a net margin of -10.6%. Historically, between 2010 and 2022, the firm...

Zur Rose's Capital Expenditures rose 7.50% yoy to CHF 58.7 mil in 2022

By Helgi Library - May 22, 2023

Zur Rose invested a total of CHF 58.7 mil in 2022, down 7.5% compared to the previous year. Historically, between 2010 - 2022, the company's investments stood at a high of CHF 63.5 mil in 2021 and a low of CHF 3.07 mil in 2011. As a p...

Zur Rose's Capital Expenditures rose 7.50% yoy to CHF 58.7 mil in 2022

By Helgi Library - May 22, 2023

Zur Rose invested a total of CHF 58.7 mil in 2022, down 7.5% compared to the previous year. Historically, between 2010 - 2022, the company's investments stood at a high of CHF 63.5 mil in 2021 and a low of CHF 3.07 mil in 2011. As a p...

Zur Rose's ROCE rose 21.8% yoy to -21.0% in 2022

By Helgi Library - May 22, 2023

Zur Rose made a net profit of CHF -171 mil in 2022, up 24.2% compared to the previous year. Historically, between 2010 and 2022, the company's net profit reached a high of CHF 8.67 mil in 2011 and a low of CHF -226 mil in 2021. The result implies a return...

More News

The Swiss Zur Rose Group is Europe’s largest e-commerce pharmacy and one of the leading medical wholesalers in Switzerland. The Company also operates the leading marketplace in southern Europe for consumer health, beauty and personal care products commonly sold in pharmacies. The company is internationally present with strong brands, including Germany’s best-known pharmacy brand DocMorris. Zur Rose employs more than 1,800 people at sites in Switzerland, Germany, the Netherlands, Spain and France. The Company's activities are divided into two business segments: Zur Rose and DocMorris. The Zur Rose division includes wholesale business and provides drugs to medical doctors, health insurance companies, hospitals and healthcare companies, among others. The DocMorris division manages the mail-order business for drug retail. The Company operates in Switzerland, Germany and the Netherlands through a number of subsidiaries, such as Zur Rose Suisse AG, Zur Rose Pharma GmbH, BlueCare AG, DocMorris NV, Eurapon Pharmahandel GmbH and Vitalsana BV.

DocMorris Logo

Finance

DocMorris has been growing its sales by 3.19% a year on average in the last 5 years. EBITDA has grown on average by 20.1% a year during that time to total of CHF 123 mil in 2030, or 6.86% of sales. That’s compared to 5.38% average margin seen in last five years.

The company netted CHF 37.6 mil in 2030 implying ROE of 19.7% and ROCE of 4.50%. Again, the average figures were 6.46% and 1.37%, respectively when looking at the previous 5 years.

DocMorris’s net debt amounted to CHF 196 mil at the end of 2030, or 93.3% of equity. When compared to EBITDA, net debt was 1.59x, down when compared to average of 2.41x seen in the last 5 years.

Valuation

DocMorris stock traded at CHF 33.0 per share at the end of 2030 resulting in a market capitalization of USD 363 mil. Over the previous five years, stock price grew by 0% or 0% a year on average. The closing price put stock at a 12-month trailing EV/EBITDA of 4.28x and price to earnings (PE) of 8.80x as of 2030.