Synthomer
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Synthomer (SYNT) investor relations material

Synthomer H1 2026 earnings summary

Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.
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H1 2026 earnings summary4 Aug, 2026

Executive summary

  • H1 2026 results exceeded expectations, with strong revenue and margin growth driven by strategic focus on specialty products, innovation, and cost discipline, supported by robust supply chains and all divisions contributing.

  • Revenue grew 5.1% in constant currency to £954.3m, EBITDA up 13.4%, and EBIT up 36% year-over-year.

  • Margin improvements achieved across all divisions, aided by product innovation, regional strategies, and cost savings.

  • Divestment of Acrylate Monomers and three further non-core projects underway to enhance specialty focus and reduce net debt.

  • Successful refinancing in April extended debt maturities to 2029, supporting a stable financial position.

Financial highlights

  • Revenue: £954.3m (+5.1% constant currency, +6.7% reported), EBITDA: £96.7m (+13.4%), margin up 80bps to 10.1%.

  • EBIT increased by 36% year-over-year; group PBT up £11.4m to £12.7m.

  • Underlying EPS was 21.5p vs (3.6)p in H1 2025; statutory loss before tax improved to £25.5m.

  • Net debt at £671.3m at June-end, with leverage at 4.9x, expected to reduce to 4–4.35x by year-end.

  • Free cash flow for H1 was £(80.8)m, impacted by seasonal working capital and receivables unwind; positive FCF expected for FY 2026.

Outlook and guidance

  • FY 2026 outlook upgraded to slightly ahead of market expectations, with recurring EBITDA progress expected in H2.

  • Positive free cash flow expected for FY 2026 (excluding non-recourse receivables finance movements).

  • Leverage targeted to fall to 4–4.35x by year-end, excluding further divestments.

  • Medium-term targets: mid-single-digit % revenue growth, EBITDA margin mid-teens, ROIC 15%+, and net debt/EBITDA 1-2x.

  • Continued focus on divestments, innovation, and cost actions to drive medium-term earnings growth.

Resolution of AS asset reliability challenges
Sticky market share gains from HPPM disruption?
Timeline for the three pending divestments
Will the £6m Iran conflict benefit recur in H2?
Drivers for the 4.0-4.35x year-end leverage target
How did site reliability issues affect AS volumes?
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