Pantheon International
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Pantheon International (PIN) investor relations material

Pantheon International H2 2026 earnings summary

Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.
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H2 2026 earnings summary4 Aug, 2026

Executive summary

  • Navigated macroeconomic and geopolitical challenges, focusing on adaptable private equity managers and a concentrated portfolio of around 25 high-conviction managers, reducing manager count from about 90 to 62.

  • Achieved strong long-term NAV per share growth, with a 10-year annualised rate of 11.5% as of 31 May 2026, and a market cap of £1.7bn.

  • Implemented actions to improve long-term NAV performance and narrow the share price discount, including active asset sales and portfolio refocusing.

  • Over £580m returned to shareholders via share buybacks since FY2022, with at least £180m from recent asset sales allocated to further buybacks.

  • Management fee structure simplified to a flat 1% of NAV from June 2026, reducing costs by 19%.

Financial highlights

  • NAV per share grew 4.3% year-over-year to 517.9p as of 31 May 2026, with modest valuation gains and investment income contributing 3.8%.

  • Share price rose 37.5% over 12 months, outperforming MSCI World and FTSE All-Share indices, narrowing the discount from 40% to 21%.

  • Net cash flow rose 60% year-over-year to £215m, with £392m in portfolio distributions (16% annualised rate).

  • GBP 224 million in net proceeds from asset sales, with at least 80% allocated to share buybacks.

  • Achieved an 18% uplift and 2.9x cost multiple on exit realisations during the year.

Outlook and guidance

  • Committed to further increasing exposure to North American and small/mid-market buyouts, emphasizing operational value creation and high-conviction partners.

  • Will continue active portfolio management, asset disposals, and focus on high-performing managers.

  • Ongoing capital returns to shareholders balanced with new investments; not adopting a buyback-only approach.

  • Expect further portfolio rebalancing and use of secondary markets as conditions allow.

  • Confident in the long-term prospects of private equity and ongoing improvement in shareholder outcomes.

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