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Viscofan (VIS) investor relations material

Viscofan 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 summary30 Jul, 2026

Executive summary

  • Revenue grew 1.8% year-over-year to €629.8 million in 1H26, with like-for-like growth of 4.8% driven by higher volumes and pricing, despite FX and energy headwinds.

  • Net profit increased 2.2% year-over-year to €71.3 million, with improved FX differences and an effective tax rate of 21.6%.

  • Volume growth was seen across all regions, with South America, APAC, and North America standing out.

  • Food, Packaging and Ingredients division showed solid growth, while Pet treats and Health divisions posted strong double-digit gains.

  • Cost environment shifted in Q2 due to Middle East conflict, prompting price increases and cost-control measures.

Financial highlights

  • EBITDA declined 7.4% year-over-year to €134.5 million, but grew 3.1% on a like-for-like basis, with margin at 21.4% (-2.1pp year-over-year).

  • Operating profit fell 9.9% year-over-year to €91.8 million.

  • Profit before tax rose 8.1% year-over-year to €90.5 million, while taxes increased 39.7%.

  • Gross margin for 1H26 was 68.0%, down 1.6 p.p. year-over-year, reflecting higher consumption costs.

  • Cash flow from operations was €83.2 million, up 34.1% year-over-year.

Outlook and guidance

  • Price increases and cost-control measures are expected to support achievement of revenue, EBITDA, and net profit guidance, with EBITDA likely at the low end of the range.

  • Cost pressures from energy and raw materials are expected to persist due to geopolitical tensions, especially the Middle East conflict.

  • Capacity expansions in cellulose (Mexico) and collagen (USA) casings are on track to meet future demand.

Factors driving EBITDA to low end of guidance
Middle East conflict impact on Q2 cost base
Drivers of SAM, APAC and NAM outperformance
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