Half-year report 2026

Consolidated statement of comprehensive income

January 1 – June 30

millions of CHF

Notes

2026

2025

Net income

0.8

6.9

Items that are or may be reclassified subsequently to the income statement

Cash flow hedges, net of tax

–0.1

3.1

Currency translation differences

0.4

–9.8

Total items that are or may be reclassified subsequently to the income statement

0.3

–6.7

Items that will not be reclassified to the income statement

Remeasurements of defined benefit plans, net of tax

2.7

7.3

Total items that will not be reclassified to the income statement

2.7

7.3

Total other comprehensive income

3.0

0.6

Total comprehensive income for the period

3.8

7.6

- thereof attributable to shareholders of medmix Ltd

3.1

8.3

- thereof attributable to non-controlling interests

0.7

–0.8