Interim report
Page 1
2021 HALF YEAR RESULTS REVENUE CHF 3.1 BN + 16.8 % ¹ + 17.9 % ² + 12.4 % organic " PROFIT FOR THE PERIOD CHF 290 MIO + 63.8 % BASIC EARNINGS PER SHARE CHF 36.29 + 59.1 % RETURN ON INVESTED CAPITAL * 17.8 % ( 0.9 ) pp³ Alternative Performance Measures ( APM ) , refer to the ' 2021 Half Year APM ' document 1. Historical currency 2. Constant currency ( CCY ) - Definition in APM 3. Percentage points SGS | 2021 Half Year Results ADJUSTED OPERATING INCOME * CHF 457 MIO + 40.6 % ² ADJUSTED OPERATING INCOME MARGIN * 14.8 % +2.4 pp² , 3 FREE CASH FLOW * CHF 93 MIO ( 57.7 ) % CASH FLOW FROM OPERATIONS SGS CHF 342 MIO ( 17.2 ) % June 2021