Trigano SA EURONEXT:TRI:
RECURRING OPERATING INCOME OF €335.9 MILLION AND OPERATING CASH FLOW OF €563.9 MILLION IN FISCAL YEAR 2024/2025
IN H1 2026 WILL GRADUALLY INCREASE PRODUCTION TO ALIGN CLOSELY WITH DISTRIBUTORS' BUSINESS CYCLES
INTENDS TO CONTINUE TO STUDY ALL EXTERNAL GROWTH OPPORTUNITIES OF STRATEGIC INTEREST
TO PROPOSE PAYMENT OF GROSS DIVIDEND OF EUR 3.60 PER SHARE FOR THE FISCAL YEAR ENDED AUGUST 31, 2025
EXPECTS CLEAR IMPROVEMENT IN BUSINESS AND RESULTS FOR COMING FISCAL YEAR
FY SALES EUR 3.66 BILLION
