Koç Holding (KCHOL) Investor presentation summary
Event summary combining transcript, slides, and related documents.
Investor presentation summary
5 Aug, 2026Strategic positioning and portfolio
Holds leading positions in energy, automotive, consumer durables, and finance, with a diversified and balanced portfolio ensuring resilience and long-term value creation.
International revenues account for 46% of total, with exports to over 155 countries and more than 130 production and sales facilities abroad.
Stable shareholding structure with significant family ownership and a strong governance framework.
Strategic alliances with global partners such as Ford, Stellantis, CNH, Whirlpool, and LG enhance competitiveness.
Financial performance and capital allocation
2025 combined revenues reached TL 4.6 trillion, with operating profit of TL 155.5 billion and consolidated net income of TL 22 billion.
Dividend income in 2025 was TL 33.4 billion, with a flexible dividend policy based on income, investment opportunities, and net cash position.
Maintains a strong liquidity position with USD 815 million net cash at 2025 year-end and a current ratio of 1.2x.
Investments over the last five years totaled approximately USD 16.1 billion, focusing on both existing and new business opportunities.
Business segment highlights
Energy: Tüpraş is Turkey’s largest refinery, Aygaz leads in LPG, and Opet is the second-largest fuel distributor; sector benefits from favorable margins and high utilization.
Automotive: Ford Otosan, Tofaş, TürkTraktör, and Otokar maintain leadership in their segments, with strong export contracts and robust domestic market presence.
Consumer durables: Arçelik is a global leader with 68% of revenue from international markets, though 2025 saw a net loss due to weak international demand.
Finance: Yapı Kredi delivered robust core revenue growth and maintained strong asset quality, despite a negative net income contribution in 2025.
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