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

with seventy years old stock exchange listing, a net asset value of €17 billion and a market capitalization of €10 billion at the end of March 2024.

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 €17.6 billion

Sectoral exposure

Sectoral exposure
Alternative assets
17%

Alternative assets

Third-party asset management
1%

Third-party asset management

6.3%

Annualized TSR

from 2012 to 03/31/2024

vs. 9.3%

for Stoxx Europe 50 

3.9%

Dividend yield

as of 03/31/2024

€ 17.0 bn

Net asset value

as of 03/31/2024

Financial calendar

2024

31May

Report on payments to governments available on GBL’s website

31Jul

Half-year results 2024

7Nov

Results as of September 30, 2024

Press releases

2024

GBL accelerates its share buyback program

GBL Strengthens its Pan-European Private Assets Investment Platform with the Opening of its Milan Office and the Appointment of Luca Bucelli

Results as of March 31, 2024

Annual & Half-year Reports

2024

2023

Half-yearly report

Half-yearly report as of June 30, 2023
(interactive version)

2022