Haci Ömer Sabanci Holding
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Haci Ömer Sabanci Holding (SAHOL) investor relations material

Haci Ömer Sabanci Holding Q2 2026 earnings summary

Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.
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Q2 2026 earnings summary13 Aug, 2026

Executive summary

  • Achieved a significant turnaround with consolidated net income of TL 14.5bn in H1 2026, compared to a TL 1.8bn loss in H1 2025, driven by operational discipline, portfolio simplification, and strategic exits from Akçansa and Carrefoursa, boosting liquidity and financial flexibility.

  • Energy remained the largest contributor to profitability, supported by a diversified and flexible generation portfolio, regulatory returns, and new U.S. capacity.

  • Material technologies segment benefited from international cement volumes, recovering tire demand, and favorable composite mix.

  • Banking profitability recovered year-over-year, aided by improved net interest margins.

  • Strategic focus on sustainable, profitable returns with increased investments in material and energy technologies.

Financial highlights

  • Combined revenue declined 9% year-over-year to TL 857.7bn in H1 2026, with Q2 revenue at TL 426bn, down 10% year-over-year.

  • Combined EBITDA rose 13% year-over-year to TL 54bn in Q2 and 9% to TL 110.5bn in H1, with non-bank EBITDA margin improving to 13.5%.

  • Consolidated net income reached TL 14.5bn in H1 2026, a sharp recovery from a loss in the prior year, including a TL 8.9bn gain from the Akçansa exit.

  • Record-high holding-only net cash position of TL 35.3bn after Akçansa exit and dividend income.

  • Non-bank operating cash flow remained strong at TL 20bn, with year-over-year decline due to working capital and timing effects.

Outlook and guidance

  • Enerjisa Enerji raised 2026 operational earnings guidance to TL 80-85bn and underlying net income to TL 13-15bn.

  • Investments for Enerjisa Enerji projected at TL 30-35bn, with a regulated asset base of TL 110-120bn.

  • Distribution and retail energy outlook improved, reflecting higher RAB and financial income.

  • Focus remains on businesses with proven capabilities and higher returns, with a simpler, more agile portfolio.

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