Groupe Bruxelles Lambert (“GBL”) is an established investment holding company,

with seventy years of stock exchange listing, a net asset value of €14 billion and a market capitalization of €10 billion at the end of June 2025.

GBL is a leading investor in Europe, focused on long-term value creation and relying on a stable and supportive family shareholder base.

Portfolio value €13.8 billion

Sectoral exposure

Sectoral exposure
Indirect private assets
18%

Indirect private assets

Third-party asset management
1%

Third-party asset management

6.9%

Dividend yield

as of 06/30/2025

€ 14.4 bn

Net asset value

as of 06/30/2025

Financial calendar

2025

6Nov

Results as of September 30, 2025

2026

12Mar

Annual results 2025 (including dividend communication)

7May

Results as at March 31, 2026

7May

Ordinary General Meeting 2026

Press releases

2025

HY Report 2025
Progress on mid-term objectives: value creation from private assets & enhanced returns

Report on payments to governments

GBL continues its share buyback program

Results as of March 31, 2025

Annual & Half-year Reports

2025

HYR 2025

Half-yearly report as of June 30, 2025
(interactive version)

2024

Annual Report 2024 – Volume 2 – Sustainability Statement

Annual Report 2024 – Volume 2 – Sustainability Statement