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SWISSCOM AG SPON LVL3 ADR EACH REP 1/10 CHF9(RG) (SCMWY)

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  • 87.270
  • 0.0000.00%
15min DelayTrading May 13 15:51 ET
45.21BMarket Cap28.59P/E (TTM)

SWISSCOM AG SPON LVL3 ADR EACH REP 1/10 CHF9(RG) (SCMWY) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
4.78%1.1B
-46.13%856M
-46.13%856M
-95.58%240M
-95.82%200M
158.52%1.05B
702.53%1.59B
702.53%1.59B
2,756.32%5.43B
2,531.32%4.79B
-Cash and cash equivalents
-33.50%661M
-83.06%258M
-83.06%258M
-94.07%193M
-96.43%154M
188.12%994M
929.05%1.52B
929.05%1.52B
2,460.63%3.25B
3,322.22%4.31B
-Short-term investments
722.64%436M
806.06%598M
806.06%598M
-97.84%47M
-90.36%46M
-11.67%53M
32.00%66M
32.00%66M
3,352.38%2.18B
751.79%477M
-Accounts receivable
-11.65%2.44B
-11.00%2.46B
-11.00%2.46B
29.28%2.68B
28.63%2.74B
25.64%2.76B
28.98%2.76B
28.98%2.76B
-5.56%2.07B
-3.71%2.13B
-Taxes receivable
0.00%99M
3.14%164M
3.14%164M
3,066.67%95M
2,300.00%96M
3,200.00%99M
15,800.00%159M
15,800.00%159M
-40.00%3M
-42.86%4M
-Other receivables
34.53%413M
-15.87%424M
-15.87%424M
55.02%324M
61.22%316M
70.56%307M
128.05%504M
128.05%504M
7.73%209M
12.00%196M
Inventory
-27.56%205M
-30.26%189M
-30.26%189M
69.57%234M
60.95%272M
49.74%283M
68.32%271M
68.32%271M
-11.54%138M
-4.52%169M
Prepaid assets
-9.02%565M
-14.82%477M
-14.82%477M
-15.40%533M
-7.54%589M
-7.73%621M
3.51%560M
3.51%560M
6.24%630M
4.60%637M
Current deferred assets
-5.74%476M
0.62%487M
0.62%487M
87.27%500M
80.30%485M
88.43%505M
80.60%484M
80.60%484M
-1.11%267M
-4.27%269M
Other current assets
-31.96%149M
12.12%37M
12.12%37M
-21.66%170M
-23.69%219M
-22.61%219M
-97.51%33M
-97.51%33M
-4.41%217M
34.74%287M
Total current assets
-7.15%5.46B
-20.01%5.13B
-20.01%5.13B
-46.54%4.82B
-41.97%4.96B
38.80%5.89B
72.43%6.41B
72.43%6.41B
133.57%9.01B
120.82%8.54B
Non current assets
Net PPE
-2.36%17.41B
-0.32%17.61B
-0.32%17.61B
32.41%17.62B
33.50%17.7B
34.66%17.83B
34.96%17.67B
34.96%17.67B
3.15%13.31B
2.74%13.26B
-Gross PPE
-2.36%17.41B
3.97%47.48B
3.97%47.48B
32.41%17.62B
33.50%17.7B
34.66%17.83B
15.29%45.67B
15.29%45.67B
3.15%13.31B
2.74%13.26B
-Accumulated depreciation
----
-6.67%-29.87B
-6.67%-29.87B
----
----
----
-5.58%-28B
-5.58%-28B
----
----
Goodwill and other intangible assets
-3.97%12.08B
-3.07%12.26B
-3.07%12.26B
76.45%12.17B
76.37%12.24B
79.89%12.57B
83.02%12.65B
83.02%12.65B
-0.71%6.9B
-0.77%6.94B
-Goodwill
0.97%6.55B
-0.32%6.58B
-0.32%6.58B
24.09%6.43B
22.96%6.39B
24.70%6.49B
27.53%6.6B
27.53%6.6B
-0.17%5.18B
-0.08%5.2B
-Other intangible assets
-9.23%5.52B
-6.07%5.68B
-6.07%5.68B
235.07%5.73B
235.65%5.85B
240.57%6.09B
248.24%6.05B
248.24%6.05B
-2.28%1.71B
-2.79%1.74B
Defined pension benefit
----
--0
--0
--0
--0
--0
--0
--0
--0
0.00%11M
Total non current assets
-2.74%30.52B
-1.71%30.9B
-1.71%30.9B
46.16%30.75B
47.03%30.95B
47.12%31.37B
49.03%31.43B
49.03%31.43B
0.31%21.04B
0.12%21.05B
Total assets
-3.44%35.98B
-4.81%36.02B
-4.81%36.02B
18.36%35.57B
21.34%35.91B
45.74%37.26B
52.53%37.85B
52.53%37.85B
21.01%30.05B
18.87%29.59B
Liabilities
Current liabilities
Payables
-10.15%2.9B
-7.59%2.79B
-7.59%2.79B
65.54%2.94B
77.21%3B
69.29%3.23B
71.24%3.02B
71.24%3.02B
2.90%1.78B
2.54%1.69B
-accounts payable
-10.35%2.48B
-9.86%2.39B
-9.86%2.39B
61.92%2.46B
73.23%2.61B
68.85%2.76B
69.68%2.65B
69.68%2.65B
-0.91%1.52B
0.73%1.51B
-Total tax payable
-9.01%424M
8.60%404M
8.60%404M
86.82%482M
109.73%388M
71.96%466M
83.25%372M
83.25%372M
32.99%258M
20.13%185M
Current provisions
-16.34%169M
-19.00%179M
-19.00%179M
58.06%147M
26.17%135M
83.64%202M
92.17%221M
92.17%221M
-28.46%93M
-30.52%107M
Current debt and capital lease obligation
11.98%1.06B
7.54%898M
7.54%898M
302.61%926M
306.64%919M
311.79%943M
145.59%835M
145.59%835M
0.88%230M
1.80%226M
-Current capital lease obligation
11.98%1.06B
7.54%898M
7.54%898M
302.61%926M
306.64%919M
311.79%943M
145.59%835M
145.59%835M
0.88%230M
1.80%226M
Other current liabilities
-39.59%293M
-18.93%287M
-18.93%287M
10.07%481M
17.20%511M
21.55%485M
-75.93%354M
-75.93%354M
3.80%437M
6.86%436M
Current liabilities
2.33%7.07B
-11.21%6.75B
-11.21%6.75B
57.66%6.73B
60.45%6.72B
52.78%6.9B
72.45%7.6B
72.45%7.6B
-7.40%4.27B
-8.40%4.19B
Non current liabilities
Long term provisions
7.34%1.39B
-4.09%1.41B
-4.09%1.41B
11.72%1.3B
13.80%1.3B
15.33%1.29B
27.87%1.47B
27.87%1.47B
8.41%1.16B
4.88%1.14B
Long term debt and capital lease obligation
-15.96%2.53B
-9.55%2.83B
-9.55%2.83B
65.30%2.77B
68.16%2.82B
77.30%3.01B
85.43%3.13B
85.43%3.13B
0.42%1.68B
0.30%1.67B
-Long term capital lease obligation
-15.96%2.53B
-9.55%2.83B
-9.55%2.83B
65.30%2.77B
68.16%2.82B
77.30%3.01B
85.43%3.13B
85.43%3.13B
0.42%1.68B
0.30%1.67B
Other non current liabilities
-5.19%73M
-3.90%74M
-3.90%74M
-3.85%75M
-5.06%75M
-3.75%77M
-4.94%77M
-4.94%77M
--78M
--79M
Total non current liabilities
0.00%17.76B
-5.83%17.04B
-5.83%17.04B
21.58%16.86B
27.28%17.6B
100.49%17.76B
105.98%18.09B
105.98%18.09B
56.42%13.87B
47.14%13.83B
Total liabilities
0.65%24.82B
-7.42%23.79B
-7.42%23.79B
30.07%23.6B
34.99%24.31B
84.37%24.66B
94.78%25.69B
94.78%25.69B
34.59%18.14B
28.96%18.01B
Shareholders'equity
Share capital
0.00%52M
0.00%52M
0.00%52M
0.00%52M
0.00%52M
0.00%52M
0.00%52M
0.00%52M
0.00%52M
0.00%52M
-common stock
0.00%52M
0.00%52M
0.00%52M
0.00%52M
0.00%52M
0.00%52M
0.00%52M
0.00%52M
0.00%52M
0.00%52M
Retained earnings
-8.58%13.2B
1.04%14.22B
1.04%14.22B
0.72%13.92B
1.25%13.56B
3.37%14.44B
4.01%14.07B
4.01%14.07B
5.05%13.82B
5.34%13.39B
Other equity interest
---1M
----
----
----
----
----
----
----
----
----
Total stockholders'equity
-11.42%11.16B
0.70%12.24B
0.70%12.24B
0.55%11.97B
0.16%11.59B
3.43%12.6B
4.61%12.15B
4.61%12.15B
4.90%11.91B
5.97%11.58B
Noncontrolling interests
---2M
---1M
---1M
-150.00%-1M
-133.33%-1M
--0
--0
--0
-33.33%2M
0.00%3M
Total equity
-11.44%11.16B
0.69%12.24B
0.69%12.24B
0.53%11.97B
0.12%11.59B
3.35%12.6B
4.59%12.15B
4.59%12.15B
4.89%11.91B
5.97%11.58B
Currency Unit
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
CHF
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments 4.78%1.1B-46.13%856M-46.13%856M-95.58%240M-95.82%200M158.52%1.05B702.53%1.59B702.53%1.59B2,756.32%5.43B2,531.32%4.79B
-Cash and cash equivalents -33.50%661M-83.06%258M-83.06%258M-94.07%193M-96.43%154M188.12%994M929.05%1.52B929.05%1.52B2,460.63%3.25B3,322.22%4.31B
-Short-term investments 722.64%436M806.06%598M806.06%598M-97.84%47M-90.36%46M-11.67%53M32.00%66M32.00%66M3,352.38%2.18B751.79%477M
-Accounts receivable -11.65%2.44B-11.00%2.46B-11.00%2.46B29.28%2.68B28.63%2.74B25.64%2.76B28.98%2.76B28.98%2.76B-5.56%2.07B-3.71%2.13B
-Taxes receivable 0.00%99M3.14%164M3.14%164M3,066.67%95M2,300.00%96M3,200.00%99M15,800.00%159M15,800.00%159M-40.00%3M-42.86%4M
-Other receivables 34.53%413M-15.87%424M-15.87%424M55.02%324M61.22%316M70.56%307M128.05%504M128.05%504M7.73%209M12.00%196M
Inventory -27.56%205M-30.26%189M-30.26%189M69.57%234M60.95%272M49.74%283M68.32%271M68.32%271M-11.54%138M-4.52%169M
Prepaid assets -9.02%565M-14.82%477M-14.82%477M-15.40%533M-7.54%589M-7.73%621M3.51%560M3.51%560M6.24%630M4.60%637M
Current deferred assets -5.74%476M0.62%487M0.62%487M87.27%500M80.30%485M88.43%505M80.60%484M80.60%484M-1.11%267M-4.27%269M
Other current assets -31.96%149M12.12%37M12.12%37M-21.66%170M-23.69%219M-22.61%219M-97.51%33M-97.51%33M-4.41%217M34.74%287M
Total current assets -7.15%5.46B-20.01%5.13B-20.01%5.13B-46.54%4.82B-41.97%4.96B38.80%5.89B72.43%6.41B72.43%6.41B133.57%9.01B120.82%8.54B
Non current assets
Net PPE -2.36%17.41B-0.32%17.61B-0.32%17.61B32.41%17.62B33.50%17.7B34.66%17.83B34.96%17.67B34.96%17.67B3.15%13.31B2.74%13.26B
-Gross PPE -2.36%17.41B3.97%47.48B3.97%47.48B32.41%17.62B33.50%17.7B34.66%17.83B15.29%45.67B15.29%45.67B3.15%13.31B2.74%13.26B
-Accumulated depreciation -----6.67%-29.87B-6.67%-29.87B-------------5.58%-28B-5.58%-28B--------
Goodwill and other intangible assets -3.97%12.08B-3.07%12.26B-3.07%12.26B76.45%12.17B76.37%12.24B79.89%12.57B83.02%12.65B83.02%12.65B-0.71%6.9B-0.77%6.94B
-Goodwill 0.97%6.55B-0.32%6.58B-0.32%6.58B24.09%6.43B22.96%6.39B24.70%6.49B27.53%6.6B27.53%6.6B-0.17%5.18B-0.08%5.2B
-Other intangible assets -9.23%5.52B-6.07%5.68B-6.07%5.68B235.07%5.73B235.65%5.85B240.57%6.09B248.24%6.05B248.24%6.05B-2.28%1.71B-2.79%1.74B
Defined pension benefit ------0--0--0--0--0--0--0--00.00%11M
Total non current assets -2.74%30.52B-1.71%30.9B-1.71%30.9B46.16%30.75B47.03%30.95B47.12%31.37B49.03%31.43B49.03%31.43B0.31%21.04B0.12%21.05B
Total assets -3.44%35.98B-4.81%36.02B-4.81%36.02B18.36%35.57B21.34%35.91B45.74%37.26B52.53%37.85B52.53%37.85B21.01%30.05B18.87%29.59B
Liabilities
Current liabilities
Payables -10.15%2.9B-7.59%2.79B-7.59%2.79B65.54%2.94B77.21%3B69.29%3.23B71.24%3.02B71.24%3.02B2.90%1.78B2.54%1.69B
-accounts payable -10.35%2.48B-9.86%2.39B-9.86%2.39B61.92%2.46B73.23%2.61B68.85%2.76B69.68%2.65B69.68%2.65B-0.91%1.52B0.73%1.51B
-Total tax payable -9.01%424M8.60%404M8.60%404M86.82%482M109.73%388M71.96%466M83.25%372M83.25%372M32.99%258M20.13%185M
Current provisions -16.34%169M-19.00%179M-19.00%179M58.06%147M26.17%135M83.64%202M92.17%221M92.17%221M-28.46%93M-30.52%107M
Current debt and capital lease obligation 11.98%1.06B7.54%898M7.54%898M302.61%926M306.64%919M311.79%943M145.59%835M145.59%835M0.88%230M1.80%226M
-Current capital lease obligation 11.98%1.06B7.54%898M7.54%898M302.61%926M306.64%919M311.79%943M145.59%835M145.59%835M0.88%230M1.80%226M
Other current liabilities -39.59%293M-18.93%287M-18.93%287M10.07%481M17.20%511M21.55%485M-75.93%354M-75.93%354M3.80%437M6.86%436M
Current liabilities 2.33%7.07B-11.21%6.75B-11.21%6.75B57.66%6.73B60.45%6.72B52.78%6.9B72.45%7.6B72.45%7.6B-7.40%4.27B-8.40%4.19B
Non current liabilities
Long term provisions 7.34%1.39B-4.09%1.41B-4.09%1.41B11.72%1.3B13.80%1.3B15.33%1.29B27.87%1.47B27.87%1.47B8.41%1.16B4.88%1.14B
Long term debt and capital lease obligation -15.96%2.53B-9.55%2.83B-9.55%2.83B65.30%2.77B68.16%2.82B77.30%3.01B85.43%3.13B85.43%3.13B0.42%1.68B0.30%1.67B
-Long term capital lease obligation -15.96%2.53B-9.55%2.83B-9.55%2.83B65.30%2.77B68.16%2.82B77.30%3.01B85.43%3.13B85.43%3.13B0.42%1.68B0.30%1.67B
Other non current liabilities -5.19%73M-3.90%74M-3.90%74M-3.85%75M-5.06%75M-3.75%77M-4.94%77M-4.94%77M--78M--79M
Total non current liabilities 0.00%17.76B-5.83%17.04B-5.83%17.04B21.58%16.86B27.28%17.6B100.49%17.76B105.98%18.09B105.98%18.09B56.42%13.87B47.14%13.83B
Total liabilities 0.65%24.82B-7.42%23.79B-7.42%23.79B30.07%23.6B34.99%24.31B84.37%24.66B94.78%25.69B94.78%25.69B34.59%18.14B28.96%18.01B
Shareholders'equity
Share capital 0.00%52M0.00%52M0.00%52M0.00%52M0.00%52M0.00%52M0.00%52M0.00%52M0.00%52M0.00%52M
-common stock 0.00%52M0.00%52M0.00%52M0.00%52M0.00%52M0.00%52M0.00%52M0.00%52M0.00%52M0.00%52M
Retained earnings -8.58%13.2B1.04%14.22B1.04%14.22B0.72%13.92B1.25%13.56B3.37%14.44B4.01%14.07B4.01%14.07B5.05%13.82B5.34%13.39B
Other equity interest ---1M------------------------------------
Total stockholders'equity -11.42%11.16B0.70%12.24B0.70%12.24B0.55%11.97B0.16%11.59B3.43%12.6B4.61%12.15B4.61%12.15B4.90%11.91B5.97%11.58B
Noncontrolling interests ---2M---1M---1M-150.00%-1M-133.33%-1M--0--0--0-33.33%2M0.00%3M
Total equity -11.44%11.16B0.69%12.24B0.69%12.24B0.53%11.97B0.12%11.59B3.35%12.6B4.59%12.15B4.59%12.15B4.89%11.91B5.97%11.58B
Currency Unit CHFCHFCHFCHFCHFCHFCHFCHFCHFCHF
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