Sunrise Communications AG (SNNRF) Form 6-K — Aug 19, 2026
Sunrise Communications AG furnished its Q2 2026 interim results on Form 6-K on 19 August 2026, reporting revenue of CHF 712.9 million, down 2.6% year over year, on phased price-increase comparisons and softer prior-quarter subscriber growth. Adjusted EBITDAaL declined 3.8% to CHF 244.4 million. Cash generation was the standout: adjusted free cash flow rose 33.3% YoY to CHF 204.4 million, the quarterly net loss narrowed 58.2% to CHF 22.4 million, and operating cash flow increased 26.4%, supported by cost discipline and lower capital expenditure.
Key figures
- Eps
- CHF (0.3) Class A basic/diluted Q2 2026 (vs CHF (0.8) Q2 2025); CHF (0.9) H1 2026
- Revenue
- CHF 712.9 million (Q2 2026); CHF 1,435.7 million (H1 2026)
- Guidance
- 2026 reconfirmed: revenue broadly stable; Adjusted EBITDAaL around CHF 1 billion; CAPEX/revenue <15%; Adjusted FCF CHF 380-400 million; expected FY2026 dividend of CHF 3.49 per Class A Share and CHF 0.35 per Class B Share (paid 2027, >+2% YoY growth)
- Net Income
- Net loss CHF 22.4 million Q2 2026 (improved 58.2% YoY); net loss CHF 61.8 million H1 2026 (widened 12.6% YoY)
- Total Debt
- CHF 4.5 billion third-party debt including accrued interest (30 June 2026), weighted-average cost of capital ~2.7% after interest-rate hedges, maturities 2029-2032
- Revenue Yoy
- -2.6% (Q2 2026); -1.2% (H1 2026)
- Total Assets
- CHF 11,334.9 million (30 June 2026)
- Cash Position
- CHF 99.8 million (30 June 2026)
- Rgus total
- ~3.18 million mobile, 1.29 million broadband Internet, 0.96 million enhanced TV (30 June 2026)
- Employees fte
- ~2,900
- Adjusted fcf h1
- CHF 93.4 million (+153.8% YoY)
- Adjusted fcf q2
- CHF 204.4 million (+33.3% YoY)
- Adjusted ebitdaal h1
- CHF 490.3 million (-0.8% YoY)
- Adjusted ebitdaal q2
- CHF 244.4 million (-3.8% YoY)
- Internet net adds q2
- +3,000 (best in five quarters)
- Restructuring cost h1
- ~CHF 23 million increase from Q1 2026 restructuring programme
- Capex p e additions q2
- CHF 101.6 million (-12.7% YoY; 14.3% of revenue)
- Operating cash flow q2
- CHF 367.3 million (+26.4% YoY)
- Fixed mobile convergence
- 61.1% (+2.6pp YoY)
- Residential fixed arpu h1
- CHF 54.7 (vs CHF 58.1 H1 2025)
- Residential mobile arpu h1
- CHF 28.9 (vs CHF 29.0 H1 2025)
- Mobile postpaid net adds q2
- +21,000
AI analysis
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