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Ignitis grupe (IGN1L) investor relations material

Ignitis grupe 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 summary12 Aug, 2026

Executive summary

  • Adjusted EBITDA for H1 2026 reached EUR 306.6–307 million, up 1.9–2% year-over-year, with stable financial performance and strategic progress in green energy projects.

  • Installed green capacity stands at 2.1 GW, with 0.6–0.7 GW under construction and additional capacity added post-period via battery storage investments.

  • Dividend of EUR 0.704 per share proposed for H1 2026, a 3.1% year-over-year increase.

  • Net debt to adjusted EBITDA remains stable at 3.49–3.5x; S&P reaffirmed BBB+ credit rating with stable outlook.

  • Major green projects (solar, hydro, BESS) are on track and within budget.

Financial highlights

  • Adjusted EBITDA grew 1.9–2% year-over-year to EUR 306.6 million, driven by Networks and Customers & Solutions.

  • Adjusted net profit fell 20.8–21% to EUR 115.8–116 million due to higher depreciation/amortization and lower financial activity results.

  • Investments totaled EUR 306.1 million, down 10.8–11% year-over-year, with 68% allocated to Networks and 26–26.3% to Green Capacities.

  • Free cash flow was EUR 5.3 million, down from EUR 64 million YoY, with investments fully covered by adjusted EBITDA.

  • Total revenue for 6M 2026 was EUR 1,497.5 million, up 15.4% YoY, mainly from Customers & Solutions and Networks.

Outlook and guidance

  • Full-year 2026 adjusted EBITDA guidance reiterated at EUR 550–600 million; investments guidance at EUR 590–690 million.

  • Strategic focus remains on green flexibility and Networks, targeting 4–5 GW Green Capacities by 2029.

  • Networks expected to benefit from higher RAB, while Green Capacities face lower captured prices but gain from new assets.

  • Reserve Capacities expected to remain stable; Customers & Solutions may see lower losses due to regulatory changes.

  • Return on capital employed decreased by 1.9 percentage points to 6.7%, but management aims to stay within the 6.5–7.5% target range.

Status of data center partner selection process
Impact of prosumer regulation model updates
Curonian Nord offshore wind viability scenarios
Impact of prosumer regulation on retail margins
Resolution of Mažeikiai wind farm cable faults
Balancing capacity market competition outlook
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Q3 202611 Nov, 2026
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