HgCapital Trust (HGT) CMD 2026 presentation summary
Event summary combining transcript, slides, and related documents.
CMD 2026 presentation summary
8 Jun, 2026Market environment and portfolio performance
The past year has been highly volatile for technology and SaaS investments, with AI uncertainty impacting valuations and share prices.
Despite recent share price weakness, long-term NAV and share price returns have been strong, with a 20-year annualized return of 14.1% to December 2025.
Portfolio performance remains robust, with 16% LTM revenue growth, 19% LTM EBITDA growth, and a 34% EBITDA margin as of March 2026.
Strategic positioning and shareholder alignment
The board believes the current share price undervalues the portfolio and is increasing alignment with shareholders through director stock purchases and £19m in buybacks YTD 2026.
Hg has announced plans to increase its shareholding in the trust to over 15% in the medium term via on-market purchases.
Capital allocation and financial health
Capital allocation focuses on long-term growth, with £1.6bn committed to 2025/2026 vintage funds and a modest dividend to maintain investment trust status.
Buybacks are deployed tactically, and the trust maintains a strong co-investment track record with a 30% IRR and 3.0x MOIC.
The portfolio is in robust financial health, with 75% of debt quantum hedged, most maturities extended to 2029+, no covenant breaches, and moderate leverage.
Latest events from HgCapital Trust
- NAV per share fell 5.4% as AI-driven growth and exits offset market volatility.HGT
Q1 20267 May 2026 - Robust portfolio growth and AI-driven value creation offset sector-driven share price declines.HGT
Q4 20259 Mar 2026 - NAV and share price surged in 2024, with strong portfolio growth and robust realisations.HGT
Q4 202425 Feb 2026 - NAV grew 4.0% in 2025, with robust portfolio gains offset by public market volatility.HGT
Q4 2025 TU6 Feb 2026 - Q3 2025 saw robust growth, high margins, and strong realisations, with AI driving future optimism.HGT
Q3 20256 Nov 2025 - Strong portfolio growth and high margins offset by valuation and FX headwinds.HGT
Q2 202515 Sep 2025 - NAV and share price surged on strong portfolio growth, realisations, and positive outlook.HGT
Q2 202413 Jun 2025 - Strong returns and portfolio growth continued, despite FX headwinds in Q3.HGT
Q3 202413 Jun 2025 - Strong H1 2024 performance with high returns, active investments, and robust liquidity.HGT
Trading Update13 Jun 2025