Future Starts with Sabancı.A Century Behind. New Horizons Ahead.

Sabancı’s first century was built on resilience, disciplined execution, responsible leadership, and trusted relationships. Today, Sabancı shapes the future by turning a century of strength into the intelligence to lead the next era. Sabancı’s DNA translates strategy into performance and culture into lasting advantage. Strong foundations now expand into new horizons, reaching beyond Türkiye to global platforms, beyond traditional businesses to next-generation technologies, and beyond financial metrics to long-term societal value creation.

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Sabancı Holding at a Glance
Financial Performance

OUR FINANCIAL STRENGTH SUPPORTED CONTINUED VALUE CREATION.

In 2025, Sabancı demonstrated the strength of a portfolio managed with discipline and balance. The Group sustained investment momentum while preserving financial resilience, supported by strong holding-level liquidity, prudent leverage, and an execution strategy designed to optimize returns, enhance ROE, and allocate capital with speed, discipline, and accountability.

This performance reflects an operating model built not only to navigate volatility, but to actively shape long-term value creation through disciplined capital allocation, execution consistency, and return-focused portfolio management.

Portfolio Scale and Profitability

Anchored by Banking and Energy, diversified across Materials, Mobility, Digital and Retail

  • Net Asset Value (exc. cash): USD 9.6 billion
  • Combined Revenue: TL 1,624 billion
  • Combined EBITDA: TL 182 billion
  • Consolidated Net Income: TL 3.8 billion
    (after minority interest)
  • Consolidated ROE: 1.0%
Balance Sheet Strength and Financial Resilience

Strong holding-level liquidity and prudent leverage supporting resilience across cycles

  • Holding Only Net Cash Position: TL 8.5 billion
  • Non-Bank Net Debt/EBITDA: 1.6x
    (Combined)
  • Non-Bank Operating Cash Flow: TL 89.3 billion
    (Combined)
  • Consolidated Net Debt/Total Capital: 85%
Investment Discipline

Disciplined investment focused on capacity expansion, efficiency, and future growth

  • Non-Bank Combined CAPEX/Sales: 12.3%
Shareholder Returns

Consistent shareholder returns supported by a disciplined dividend policy

  • Dividends per Share: TL 3
    (Distributed in 2025)
ESG Indices & Ratings Performance

OUR SUSTAINABILITY LEADERSHIP WAS RECOGNIZED GLOBALLY.

Sabancı Holding’s ESG performance reflects sustained leadership across multiple global assessment frameworks. The consistency of results over time, combined with leading positions at both local and global levels, demonstrates the Group’s commitment to responsible growth, transparent reporting, and positive impact.

Performance is not driven by a single metric or benchmark, but by a structured approach that delivers measurable outcomes across all sustainability priorities.

ESG Indices & Ratings Performance