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Polytec (PYT) investor relations material

Polytec 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

  • Focus on productivity, profitability, and portfolio optimization led to improved margins and a stronger balance sheet despite a 19.6% sales decline, mainly due to divestments and plant closures.

  • Strategic shift towards expanding non-automotive business, especially smart plastic applications, with a target of 30% group revenue share in 2–3 years.

  • Operational turnaround achieved in FY 2025, with positive earnings, dividend resumption, and management share purchases signaling confidence.

  • Guidance for 2026 confirmed, targeting stable or slightly improved earnings and profitability despite lower revenues.

Financial highlights

  • H1 2026 consolidated sales: EUR 287.4 million, down 19.6% year-over-year due to planned divestments and plant closures.

  • EBITDA up 7% to EUR 22.6 million (margin 7.9%); EBIT up 47% to EUR 8.3 million (margin 2.9%).

  • Earnings before tax more than tripled to EUR 5.6 million; earnings after tax rose to EUR 4.7 million (EPS: EUR 0.21).

  • Equity ratio increased to 50.1%; net debt reduced by 43% to EUR 29.6 million; cash and cash equivalents at EUR 34.4 million at end of June 2026.

  • Material expenses fell 25.3% to EUR 141.5 million; personnel expenses dropped 14.6% to EUR 101.4 million.

Outlook and guidance

  • FY 2026 sales expected between EUR 560–590 million, reflecting divestments and plant closures.

  • EBIT margin target around 3% for 2026, with stable or slightly improved earnings anticipated.

  • Annual dividend payments to continue, with a payout ratio of 20–30% of consolidated net profit.

  • Continued focus on expanding non-automotive plastics applications to 30% of sales in the medium term.

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