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MTI Investment (MTI) investor relations material
MTI Investment H1 2026 earnings summary
Complete event summary combining all related documents: earnings call transcript, report, and slide presentation.Executive summary
Net Asset Value (NAV) per share increased to SEK 2.49 at the end of H1 2026, up 8% year-over-year from SEK 2.31.
Consolidated group revenue declined by 18% to SEK 4,562,738 compared to H1 2025.
Net loss reduced by 53% to SEK -927,867, reflecting improved operational efficiency and cost control.
Major debt restructuring reduced total debt from SEK 24.1 million to SEK 11.0 million via a directed share issue.
Strategic partnership with Yard House Capital Group to enhance access to European institutional investors and focus on Africa-related strategies.
Financial highlights
EBITDA improved by 51% to SEK -957,528 from SEK -1,934,096 year-over-year.
Total equity rose to SEK 16,335,934 from SEK 6,668,866 year-over-year.
Cash and cash equivalents at period end were SEK 2,581,764, down from SEK 2,825,901.
Earnings per share (EPS) improved to SEK -0.05 from SEK -0.12.
Outlook and guidance
Management expects continued operational improvements and flexibility following debt restructuring.
Strategic relocation of Kenya office to Nairobi aims to enhance access to investors and business opportunities.
Focus remains on expanding capital flows into African markets and supporting portfolio growth.
- Revenue up 91% and net loss down 63% YoY, with NAV per share rising to SEK 2.46.MTI
H2 2025 - Revenue up 759% YoY, net loss narrowed, and NAV per share rose 7% to SEK 2.31.MTI
H1 2025 - Revenue fell sharply but portfolio companies showed strong operational and strategic progress.MTI
H1 2024 - Revenue up 32% YoY, EBITDA loss narrows, East Africa portfolio shows mixed results.MTI
H2 2024
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