Half-year report 2026

Consolidated balance sheet

millions of CHF

Notes

June 30, 2026

December 31, 2025

June 30, 2025

Non-current assets

Goodwill

266.5

266.5

267.3

Other intangible assets

97.5

103.5

108.7

Property, plant and equipment

190.0

195.7

192.0

Lease assets

70.9

73.3

72.1

Non-current financial assets

0.0

0.0

0.0

Defined benefit assets

34.9

32.2

26.2

Non-current receivables

0.3

0.3

0.3

Deferred income tax assets

22.5

19.5

17.7

Total non-current assets

682.5

691.0

684.3

Current assets

Inventory

81.7

74.2

79.2

Current income tax receivables

2.0

1.9

2.5

Advance payments to suppliers

1.8

1.8

3.3

Contract assets

4.0

6.1

3.2

Trade accounts receivable

58.4

50.3

51.3

Other current receivables and prepaid expenses

2

28.9

17.1

20.3

Current financial assets

8.5

8.4

8.3

Cash and cash equivalents

102.8

105.5

100.1

Total current assets

287.9

265.3

268.3

Total assets

970.5

956.4

952.6

Equity

Share capital

0.4

0.4

0.4

Reserves

424.6

425.3

423.6

Equity attributable to shareholders of medmix Ltd

8

425.0

425.7

424.0

Non-controlling interests

7.8

7.1

6.4

Total equity

8

432.8

432.8

430.5

Non-current liabilities

Non-current borrowings

9

249.6

249.1

248.7

Non-current lease liabilities

58.2

61.6

61.7

Deferred income tax liabilities

15.3

15.7

16.4

Defined benefit obligations

2.1

2.1

2.1

Non-current provisions

4.9

4.7

3.0

Other non-current liabilities

18.6

18.4

19.0

Total non-current liabilities

348.7

351.6

350.9

Current liabilities

Current borrowings

9

0.8

9.1

0.5

Current lease liabilities

10.8

10.5

9.6

Current income tax liabilities

19.4

15.9

17.2

Current provisions

24.0

16.6

14.9

Contract liabilities

2.4

5.3

3.5

Trade accounts payable

50.3

43.0

48.2

Other current and accrued liabilities

2,10

81.2

71.5

77.3

Total current liabilities

188.9

171.9

171.2

Total liabilities

537.6

523.6

522.1

Total equity and liabilities

970.5

956.4

952.6