May 20 (Reuters) - Elior Group SA ELIOR.PA:
END-H1 FREE CASH FLOW AT EUR 9 MILLION
H1 REVENUE EUR 3,179 MILLION, +1.3% YOY ORGANICALLY
H1 ADJUSTED NET INCOME GROUP SHARE EUR 30 MILLION
H1 NET DEBT AT EUR 1,182 MILLION
H1 ADJUSTED EBITA EUR 95 MILLION
FY OUTLOOK: DEBT-TO-EQUITY RATIO OF AROUND 3.5X (COMPARED WITH THE AROUND 3X INITIALLY ANNOUNCED)
FY OUTLOOK: ORGANIC REVENUE GROWTH OF BETWEEN 1-2% (COMPARED WITH 3–4% INITIALLY ANNOUNCED)
FY OUTLOOK: ADJUSTED EBITA MARGIN, EXCLUDING EXCEPTIONAL ITEMS, OF AROUND 3% (COMPARED WITH THE 3.5–3.7% INITIALLY ANNOUNCED)
H2 OUTLOOK: BUSINESS ACTIVITY TO REMAIN AT THE SAME LEVEL AS IN H1
Further company coverage: ELIOR.PA
(Gdansk Newsroom)
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