0001398659-26-000014
SEC filingGenpact Q2 2026 营收增长 7.1%,Advanced Technology Solutions 增长 24.1%,带动利润与 EPS 提升。
| 指标 | 本期 | 去年同期 | 同比 |
|---|---|---|---|
| Net revenues | $1,343.4M | $1,254.4M | +7.1% |
| Gross Profit | $490.3M | $450.1M | +8.9% |
| Gross Margin | 36.5% | 35.9% | +60 bps |
| Operating Income | $192.9M | $179.4M | +7.5% |
| Operating Margin | 14.4% | 14.3% | +10 bps |
| Net Income | $145.7M | $132.7M | +9.8% |
| Diluted EPS | $0.86 | $0.75 | +$0.11 |
| Adjusted income from operations (AOI) | $233.6M | $217.3M | +7.5% |
| Operating Cash Flow (H1) | $48.9M | $217.8M | -77.5% |
| Free Cash Flow (H1) | -$5.0M | $170.6M | — |
Q2 营收增长 7.1%,主要受 Advanced Technology Solutions 强劲增长 24.1% 驱动,其中 digital technology、data and AI、agentic solutions 和 advisory services 需求全面增长。Core Business Services 仅增长 1.9%,主要来自 technology services 组件。按分部看,Consumer and Healthcare 和 High Tech and Manufacturing 分别增长 9.5% 和 7.6%,Financial Services 增长 3.3%。
毛利率提升 60 bps 至 36.5%,主要得益于 headcount 下降(-2.6%)和外汇利好,但被 resold partner technology 成本上升部分抵消。SG&A 费用率上升至 21.9%(+70 bps),因公司加大 partnerships、alliances 和销售营销投入。经营利润率小幅提升 10 bps 至 14.4%。
盈利质量方面,Net Income 增长 9.8%,但经营现金流大幅下滑 77.5% 至 $48.9M,主要因应收款项增加、客户预收款减少以及税费和员工相关支付增加。剔除一次性 earn-out 支付后,run-rate 盈利能力依然稳健,但现金流转化率显著恶化,需关注营运资本管理。
| 分部 | 营收 | 同比 | 经营利润/EBITDA | 利润率 | 驱动 |
|---|---|---|---|---|---|
| Financial Services | $349.9M | +3.3% | $67.8M | 19.4% | 新签合同 ramp-up,digital technology 需求 |
| Consumer and Healthcare | $469.2M | +9.5% | $72.5M | 15.5% | Advanced Technology Solutions 需求,但投资增加致 AOI 下降 |
| High Tech and Manufacturing | $524.4M | +7.6% | $89.7M | 17.1% | Advanced Technology Solutions 与 technology services 需求 |
| 项目 | 本期 | 上期/变化 |
|---|---|---|
| Cash and cash equivalents | $517.4M | -39.4% |
| Short-term investments | $0 | -$350.0M |
| Total Debt | $1,180.3M | -$362.0M |
| Accounts Receivable, net | $1,402.8M | +$162.3M |
| Contract liabilities | $197.8M | -$52.9M |
| Operating Cash Flow (H1) | $48.9M | -$168.9M |
| Capex (H1) | $53.9M | +$6.7M |
| Free Cash Flow (H1) | -$5.0M | -$175.6M |
公司于 2026 年 4 月偿还了 2021 Senior Notes($350.0M),债务总额降至 $1,180.3M。现金及短期投资合计 $517.4M,净债务约 $662.9M。经营现金流大幅下滑主要因应收增加和客户预收款减少,但公司仍维持回购和分红。
资本配置:上半年回购 3,372,227 股,耗资 $119.9M,剩余授权 $244.1M。季度股息提高 10% 至 $0.1875/股,2026 年计划年化 $0.75/股。公司还支付了 XponentL earn-out $77.5M。
前瞻指引:本 10-Q 未提供具体财务指引。
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