Business Portfolio and Acquisition Strategy slide image

Business Portfolio and Acquisition Strategy

Financial Highlights 2018 Symrise records another year of outstanding sales growth symrise Sales € 3,154m +5.3% +8.8% Cash flow from operating activities +12% € 442m in reporting currency Organic growth New KPI since 2018 EBITDA Margin 20.0% EBITDA € 631m Business Free Cash Flow* Net income ** € 275m Earnings per share** € 2.12 *** Net Debt € 1,380m Net Debt (including pensions) € 1,893m Investments Mainly for accelerated growth initiatives €226m or 7.2% of sales *Business Free Cash Flow = EBITDA - CAPEX +/- Change in Working Capital **attributable to shareholders of Symrise AG *** undiluted 14
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