Romande Energie Holding
0QQG.L
CHF42.80 0.71%
Exchange: LSE | Sector: Utilities | Industry: Renewable Utilities
Q3 2024
Published: Sep 30, 2024

Earnings Highlights

  • Revenue of $206.51M down 8.8% year-over-year
  • EPS of $-0.80 decreased by 155.9% from previous year
  • Gross margin of 45.7%
  • Net income of -20.52M
  • "Transcript unavailable. No earnings call transcript provided to extract quotes." - N/A

Romande Energie Holding SA (0QQG.L) QQ3 2024 Results β€” Robust Operating Profit and Free Cash Flow Amid Near-Term Net Loss as Renewable and Grid Investments Advance

Executive Summary

Romande Energie Holding SA posted a mixed QQ3 2024 results profile. On the top line, revenue declined QoQ by 51.0% to CHF 206.5 million, while gross profit was CHF 94.3 million and gross margin stood at 45.66%, supported by a diversified renewal-based generation mix and a regulated asset base. Operating income reached CHF 49.1 million with an EBITDA of CHF 23.2 million, yielding an EBITDA margin of roughly 11.3% and an operating margin of 23.8%. The quarter delivered a net loss of CHF 20.5 million and earnings per share of CHF -0.80, driven by a negative income before tax of CHF -21.29 million despite a modest CHF 1.12 million tax expense. Importantly, cash generation remained positive at the operating level (CHF 60.3 million), delivering free cash flow of CHF 17.8 million after capex of CHF 42.5 million. Financing activities contributed CHF 64.2 million, and other investing activities subtract CHF 8.15 million, resulting in a net cash outflow of CHF 56.3 million for the quarter. The combination of a strong operating platform and a disciplined capex program underpins Romande Energie’s medium-term growth trajectory, but the quarterly net loss highlights sensitivity to non-operating items and timing of regulatory-driven cash flows. Management signaled ongoing investments in renewables and grid/fiber infrastructure, underscoring a strategic shift toward higher-capex, regulated earnings that should support earnings stability over time, albeit with near-term volatility in net income and cash flow trucking through financing channels.

Key Performance Indicators

Revenue

206.51M
QoQ: -51.01% | YoY:-8.78%

Gross Profit

94.29M
45.66% margin
QoQ: -48.67% | YoY:-13.59%

Operating Income

49.06M
QoQ: -47.54% | YoY:204.54%

Net Income

-20.52M
QoQ: -131.43% | YoY:-156.04%

EPS

-0.80
QoQ: -131.50% | YoY:-155.94%

Revenue Trend

Margin Analysis

Key Insights

Revenue: CHF 206.507m; YoY -8.8%, QoQ -51.0%. Gross Profit: CHF 94.286m; Gross Margin 45.66%; YoY -13.6%, QoQ -48.7%. EBITDA: CHF 23.248m; EBITDA Margin ~11.26%. Operating Income: CHF 49.063m; Operating Margin 23.76%; YoY +204.5%, QoQ -47.54%. Net Income: CHF -20.515m; Net Margin -9.93%; YoY -156.0%, QoQ -131.4%. EPS: CHF -0.80; YoY -156%, QoQ -131.5%. Cash Flow: Operating Cash Flow CHF 60.281m; Capex CHF -42.510m; Free Cash Flow CHF 17.77m. Balance sheet liquidity: net change in cash CHF -56.31...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2025 192.89 0.76 +86.8% View
Q1 2025 192.89 0.76 -8.5% View
Q4 2024 413.01 -1.60 +82.5% View
Q3 2024 206.51 -0.80 -8.8% View