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Romande Energie Holding (REHN) investor relations material
Romande Energie Holding Investor presentation summary
Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.Investment highlights
Visible EBITDA growth, predictable cash flows, and reliable dividends supported by regulated activities and essential infrastructure.
Exposure to the energy transition with a local, renewable-only asset base and digital capabilities.
Financial hedges through strategic stakes in EOS, Alpiq, and FMHL.
Defensive, resilient business model with both short- and long-term relevance.
Integrated business model and operations
Operates across the energy value chain: renewable generation, infrastructure, supply, and customer solutions.
Fifth-largest electricity supplier in Switzerland, with CHF 1.1bn market cap and 300,000 customer relationships.
Four business units: Energy, Markets, Grids, and Building Solutions, supporting diversified earnings.
2025 generation mix: 68% hydro, 15% solar, 13% wind, 4% biomass.
Strategic vision and sustainability
Vision 2040 targets 5 TWh renewable generation, 1 million customers, and digital products as a key revenue pillar.
Strategy 2030 focuses on asset returns, value-driven capex, and industrial partnerships.
Sustainability core: 96.1% low-carbon supply, 100% renewable generation, and net-zero by 2050.
Multiple ESG ratings and CHF 100m green bond issued.
- EBITDA up 37% and net profit at CHF 47m, driven by margin gains and strong cash flow.REHN
H1 2026 - EBITDA reached CHF 152m and net profit CHF 80m, with strong digital and renewable growth.REHN
H2 2025 - EBITDA and net profit rose, cash flow doubled, outlook stable despite regulatory headwinds.REHN
H1 2025 - 2024 profits fell on regulatory impacts, but recovery and growth are expected from 2025.REHN
H1 2024 - Sharp profit drop in 2024, but investment and strategy set stage for future growth.REHN
H2 2024
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