SDG Synergie SA

Turnover: €1,570 million at 30 September 2020 thanks to international growth

Turnover: €1,570 million at 30 September 2020 thanks to international growth

Paris, 28 October 2020

Turnover: €1,570 million at 30 September 2020 thanks to international growth



in € millionQ3 2020Q3 2019Change9 months  20209 months  2019Change
 307.3348.4 -11.8%854.01,013.0-15.7%
International  
France262.7323.8-18.9%716.6   954.5-24.9%
       
Total570.0672.2-15.2%1,570.61,967.5-20.2%



After experiencing a significant impact from the Covid-19 pandemic during the first six months, the recovery seen in mid-May continued throughout the third quarter.

Against this backdrop, SYNERGIE made consolidated turnover of €1,570.6 million, a decrease of 20.2% over nine months (-20.8% on a like-for-like basis).

Thanks to the international expansion strategy in place for several years in the 17 countries in which the Group currently operates, and its diversification in areas such as the environment, renewable energy, agri-food and the medical sector, the slowdown in aeronautical and car manufacturing-related industries has thus been offset. The third quarter also benefited from a pick-up in building and public works.

In the human resources market in France, SYNERGIE made turnover of €684.7 million (-25.8% while the market fell by around 27%), reflecting a steady improvement in activity since the sharp fall in the second half of March, with the lag in September versus 2019 coming out at only 16.2%.

In digital services in which the Group has been present since June 2018 through its subsidiary DCS EASYWARE, turnover reached €46.3 million compared with €33.8 million in 2019, demonstrating the success of its diversification.

The international activity (54.4% of consolidated turnover) held up particularly well, with an excellent quarter (-11.8%) giving rise to 9M turnover of €854 million compared with €1,013 million (-15.7%).

Trends still varied during the quarter depending on the region: -16.1% in northern and eastern Europe and -6.8% in southern Europe where our Italian subsidiary generated turnover of almost €300 million over the first nine months, a decrease of just 9.3%.

Given the gradual improvement in activity recorded during the initial weeks of October, SYNERGIE confirmed its turnover target for 2020 of more than €2 billion, its financial structure and high cash position enabling it to remain confident in its capacity to withstand this health crisis and pursue growth both organically and through acquisitions.

Next event: Publication of 2020 full-year turnover on 3 February 2021 after the stock market closes.

Attachment

EN
28/10/2020

Underlying

To request access to management, click here to engage with our
partner Phoenix-IR's CorporateAccessNetwork.com

Reports on Synergie SA

Jean-François Granjon
  • Jean-François Granjon
Jean-François Granjon
  • Jean-François Granjon
 PRESS RELEASE

2025 HALF-YEAR REVENUES

2025 HALF-YEAR REVENUES In an uncertain economic climate, SYNERGIE recorded revenues of €1,582.8 million in the first half of 2025, up +1.8%  in € mQ2 2025Q2 2024VariationH1 2025H1 2024Variation International493.1472.24.4%956.7920.24.0% France332.3331.80.2%626.1635.2-1.4% Total825.4804.02.7%1 582.81 555.41.8% SYNERGIE reported consolidated revenue of €1,582.8 million for the first half of 2025, up +1.8% on previous year (-0.1% on a like-for-like basis). It reflects the Group’s resilience in an uncertain economic and geopolitical environment. This performance was driven by the successful...

 PRESS RELEASE

CHIFFRE D’AFFAIRES PREMIER SEMESTRE 2025

CHIFFRE D’AFFAIRES PREMIER SEMESTRE 2025 Dans un contexte économique incertain, SYNERGIE enregistre une croissance de +1,8 % au premier semestre 2025, avec un chiffre d’affaires de 1 582,8 M€.  en M€T2 2025T2 2024VariationS1 2025S1 2024Variation International493,1472,24,4%956,7920,24,0% France332,3331,80,2%626,1635,2-1,4% Total825,4804,02,7%1 582,81 555,41,8% SYNERGIE affiche un chiffre d’affaires semestriel de 1 582,8 M€, en croissance de +1,8 % par rapport à 2024 (-0,1 % à devise et périmètre constants), témoignant de la résilience de son activité dans un environnement économique et g...

 PRESS RELEASE

SYNERGIE : Bilan du contrat de liquidité - S1 2025

SYNERGIE : Bilan du contrat de liquidité - S1 2025 Information Réglementée BILAN DU 1er SEMESTRE 2025CONTRAT DE LIQUIDITE AVEC ODDO BHF SCA Au titre du contrat de liquidité confié par SYNERGIE à ODDO BHF SCA, à la date du 30/06/2025 les ressources suivantes figuraient au compte de liquidité dédié : 12.589 titres 794.167 euros Il est rappelé que lors de la mise en place du contrat, les moyens suivants figuraient au compte de liquidité dédié : 26.101 titres 298.942 euros Sur la période du 01/01/2025 au 30/06/2025 ont été exécutées : 427 transactions à l'achat 447 transactions à...

ResearchPool Subscriptions

Get the most out of your insights

Get in touch