Vinci Compass Investments
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Vinci Compass Investments (VINP) investor relations material

Vinci Compass Investments 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 summary11 Aug, 2026

Executive summary

  • Assets under management (AUM) reached R$361.2 billion, up 19% year-over-year, driven by capital formation, appreciation, and acquisitions including BACS and Navi Real Estate, expanding presence in Argentina and the multi-strategy real estate segment.

  • Fee Related Earnings (FRE) for 2Q'26 were R$89 million, up 36% year-over-year, with a FRE margin of 33%.

  • Demonstrated robust fundraising momentum with R$53 billion in capital formation and appreciation over the last twelve months, and close to R$1 billion in new commitments across flagship funds.

  • Maintained focus on scaling the platform, diversifying product suite, and leveraging operating efficiency for long-term value creation.

  • Quarterly dividend declared at US$0.17 per share, payable September 9, 2026.

Financial highlights

  • Management fees totaled R$252.2 million in 2Q'26, up 29% year-over-year, driven by acquisitions and organic growth.

  • Fee Related Revenues for 2Q'26 YTD were R$544.4 million, up 17% year-over-year.

  • Adjusted Distributable Earnings per share for 2Q'26 were R$0.96; total Adjusted Distributable Earnings were R$63.3 million, down 16% year-over-year.

  • Operating profit was R$92.8 million, up 33% year-over-year; adjusted net income was R$47.7 million, down 15% year-over-year.

  • Net Cash and Investments stood at R$725.1 million at quarter-end.

Outlook and guidance

  • FRE margin expected to remain in the mid-30%s, with potential for further improvement as BACS and Navi contributions scale.

  • Anticipates stronger second half of 2026, with increased deal activity and capital returns from maturing funds.

  • Fundraising pipeline remains robust across credit, real assets, private equity, and global solutions, with several flagship strategies expected to close in H2 2026.

  • Proprietary funds remain in the investment phase, expected to continue drawing capital according to capital call schedules.

  • Corporate Advisory expects an extensive pipeline of opportunities for the second half of 2026 despite subdued activity in 2Q'26.

BACS and Navi impact on margins and growth
Galeão indemnification and GP return outlook
Global IP&S outflow drivers and recycling
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