Investor Presentation

May 2021

Delivering meaningful growth

Agenda

1

2

3

4

Strong rebound: proof of GBL's resilience and solid fundamentals

Page 3

Continued focus on alternative assets and ESG

Page 24

Financial performance

Page 32

Outlook

Page 37

2

Part 1

Strong rebound:

proof of GBL's resilience and solid fundamentals

3

Key figures 2021

(as of 3/31/2021)

€21.1bn

10.1%

€4bn+

Net asset value

Annualized TSR since 2012

Liquidity profile1

+32.9% for the LTM

vs. +8.0% for the Stoxx Europe 50

vs. +21.7% for the Stoxx Europe 50

€14.2bn

€1.4bn

6.3%

Market capitalization

Portfolio rotation

LTV

in Q1 2021

  1. Pro forma for convertible bonds placed on 3/23/2021 with settlement on 4/1/2021

4

NAV: strong recovery and outperformance vs. reference index

+32.9%

vs. +27.7% for the

Stoxx Europe 50

€15.9bn

€21.1bn

March 31, 2020

March 31, 2021

5

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GBL - Groupe Bruxelles Lambert SA published this content on 28 May 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 28 May 2021 15:48:03 UTC.