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Arvo Sijoitusosuuskunta (ARVOSK) investor relations material
Arvo Sijoitusosuuskunta H1 2026 earnings summary
Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.Executive summary
Strong operational performance in H1 2026, with group net profit rising to €7.0M from €2.7M year-over-year, driven by a successful exit from HANZA AB shares, though parent company profit declined to €4.8M from €7.8M due to non-recurring items and lack of subsidiary dividends.
Three new direct investments and one follow-on were made; direct investments now comprise 40% of the portfolio by fair value.
HANZA AB share sale generated a €6.9M capital gain; Summa Defence Oyj’s market value decline caused a €1.2M impairment.
Financial highlights
Group revenue increased to €33.8M from €17.5M year-over-year; parent company revenue rose to €27.5M from €16.8M.
Group EBIT was €8.5M (up from €6.5M); group EPS was €8.57 (up from €3.26); parent company EPS was €5.88 (down from €9.60).
Annualized return on invested capital reached 17.0% (up from 10.3%).
Equity ratio remained high at 88.6% (up from 86.6%).
Cash and cash equivalents at period end were €3.5M (up from €2.5M).
Outlook and guidance
No short-term outlook published, but economic conditions for Finnish SMEs are improving, with expectations of continued growth and stable profitability for the remainder of 2026.
Focus remains on disciplined capital allocation, active ownership, and expanding direct investments.
- Net profit and returns surged, driven by exits and new investments, with a 51% share price gain.ARVOSK
H2 2025 - Net profit increased to €1.2 million, with a strong equity ratio and resilient investment portfolio.ARVOSK
H1 2024 - Net profit doubled, portfolio active, and €4.50/share profit distribution proposed.ARVOSK
H2 2024 - Record net profit and strong returns achieved despite a challenging market.ARVOSK
H1 2025
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