SIG Combibloc Group AG (SIGN) — Capital Reinvestment Ratio

Latest as of December 2025: 0.30x

SIG Combibloc Group AG (SIGN) has a Capital Reinvestment Ratio of 0.30x as of December 2025, meaning it reinvests 0% of its operating cash flow (CHF490.12 Million) in capital expenditures (CHF146.32 Million). See SIG Combibloc Group AG (SIGN) net asset quality to measure how much of total assets are equity-financed.

Capital Reinvestment Ratio

0.30x
Capex / Operating Cash Flow

Operating Cash Flow

CHF490.12 Million
CHF

Capital Expenditures

CHF146.32 Million
CHF

Data as of

Dec 2025
Most recent filing

SIG Combibloc Group AG Capital Reinvestment Ratio (2003–2025)

This chart tracks SIG Combibloc Group AG's Capital Reinvestment Ratio across 14 annual periods. Check SIGN total capital reinvestment ratio to assess the company's total reinvestment commitment from operating cash flow.

Annual Capital Reinvestment Ratio for SIG Combibloc Group AG (2003–2025)

Year-by-year Capital Reinvestment Ratio for SIG Combibloc Group AG from 2003 to 2025. For live market cap and broader valuation context, see market value of SIG Combibloc Group AG.

Year Reinvestment Ratio Operating CF (CHF) Capital Expenditures YoY Change
2025 0.55x CHF522.59 Million CHF287.16 Million ▲ +15.1%
2024 0.48x CHF649.20 Million CHF310.00 Million ▼ -20.6%
2023 0.60x CHF663.30 Million CHF398.90 Million ▲ +16.0%
2022 0.52x CHF578.20 Million CHF299.70 Million ▲ +11.9%
2021 0.46x CHF530.90 Million CHF245.90 Million ▼ -1.0%
2020 0.47x CHF425.80 Million CHF199.20 Million ▲ +12.5%
2019 0.42x CHF438.10 Million CHF182.20 Million ▼ -49.4%
2018 0.82x CHF260.20 Million CHF213.90 Million ▼ -5.1%
2017 0.87x CHF245.20 Million CHF212.30 Million ▲ +12.2%
2016 0.77x CHF239.40 Million CHF184.80 Million ▲ +32.4%
2006 0.58x CHF175.00 Million CHF102.00 Million ▲ +10.7%
2005 0.53x CHF209.00 Million CHF110.00 Million ▼ -43.8%
2004 0.94x CHF142.00 Million CHF133.00 Million ▲ +6.7%
2003 0.88x CHF164.00 Million CHF144.00 Million
Capital Reinvestment Ratio = ABS(Capital Expenditures) / Operating Cash Flow