share_log

KYNDRYL OUTLINES GROWTH STRATEGY AT 2024 INVESTOR DAY

KYNDRYL OUTLINES GROWTH STRATEGY AT 2024 INVESTOR DAY

KYNDRYL概述了2024年投資者日的增長策略
PR Newswire ·  11:57
  • Poised for ongoing annual revenue growth, margin expansion and significant cash flow generation
  • Board authorizes $300 million share repurchase program
  • 公司有望實現持續的年度營業收入增長、利潤率擴張和顯著的現金流生成
  • 董事會授權30000萬股票回購計劃

NEW YORK, Nov. 21, 2024 /PRNewswire/ -- Kyndryl Holdings, Inc. (NYSE: KD), the world's largest IT infrastructure services provider, today hosted its 2024 Investor Day. At the event, senior management outlined the Company's growth strategy, multi-year outlook and capital allocation priorities, including initiating a $300 million share repurchase program.

紐約,2024年11月21日 / PRNewswire/ -- Kyndryl Holdings, Inc.(紐交所:KD),全球最大的IT基礎設施服務提供商,今天舉辦了2024年投資者日。在此次活動中,高級管理層概述了公司的增長策略、多年展望和資本配置優先事項,包括啓動30000萬股票回購計劃。

"Since becoming an independent company in November 2021, we've consistently communicated our strategic milestones and executed ahead of plan – positioning Kyndryl for revenue growth, further margin expansion and strong free cash flow generation," said Kyndryl Chairman and Chief Executive Officer Martin Schroeter.

"自2021年11月成爲獨立公司以來,我們一直在持續傳達我們的戰略里程碑並提前執行計劃,從而把Kyndryl定位於營業收入增長、進一步利潤率擴張和強勁的自由現金流生成," Kyndryl董事長兼首席執行官馬丁·施羅特說。

"The investments we've made in our people, technology alliances and intellectual property have expanded our leadership position in our industry and our role as the trusted partner of choice in the markets we serve. The strength of our strategic and operational execution has allowed us to now have the flexibility to return capital to shareholders under our share buyback program."

"我們在人員、科技聯盟和知識產權方面的投資鞏固了我們在行業中的領先地位,也使我們成爲市場上值得信賴的合作伙伴。我們戰略及運營執行的強大能力讓我們現在有靈活性在股票回購計劃下向股東返還資本。"

At the Investor Day, Kyndryl outlined its multi-year growth strategy, emphasizing that:

在投資者日上,Kyndryl概述了其多年增長策略,強調:

  • The Company expects to triple its adjusted free cash flow in fiscal year 2028 compared to fiscal year 2025, and to more than double its adjusted pretax income over that time period
  • Kyndryl is well-positioned to deliver the single-digit revenue growth required to achieve its cash flow and earnings targets
  • Kyndryl will realize incremental benefits from its 3A's initiatives – Alliances, Advanced Delivery and Accounts – which have been a key source of the margin expansion the Company has already delivered
  • Kyndryl Consult, the Company's advisory services activities, will continue to grow revenue at a double-digit rate, outpacing market growth and contributing to margin expansion
  • The Company's AI-powered operating platform, Kyndryl Bridge, is driving efficiencies in service delivery and providing operational insights that are a powerful source of market differentiation and revenue generation
  • 公司預計在2028財年調整後的自由現金流將是2025財年的三倍,並且在這段時間內調整後的稅前收入將翻倍以上。
  • Kyndryl處於良好位置,可以實現所需的單一數字營業收入增長,以達到其現金流和盈利目標。
  • Kyndryl將從其3A計劃——聯盟、愛文思控股交付和帳戶中實現增量收益,這些計劃一直是公司已經實現的利潤擴張的關鍵來源。
  • Kyndryl Consult,即公司的顧問服務活動,將繼續以兩位數的速度增長營業收入,超越市場增長並促進利潤擴張。
  • 公司的人工智能驅動的運營平台Kyndryl Bridge正在推動服務交付的效率,並提供強大的市場差異化和營業收入生成的運營洞察。

Kyndryl reaffirmed its fiscal 2025 guidance, previously shared on November 7 when the Company reported second quarter fiscal 2025 results. Additionally, the Company provided its financial objectives for fiscal year 2028 (the twelve months from April 2027 to March 2028), including:

Kyndryl重申了其2025財年的指導方針,該指導方針在公司於11月7日公佈2025財年第二季度業績時已分享。此外,公司還提供了2028財年的財務目標(即從2027年4月到2028年3月的十二個月),包括:

  • Adjusted free cash flow of at least $1 billion, triple the Company's expected fiscal 2025 amount, with roughly 100% conversion of adjusted pretax income less cash taxes into adjusted free cash flow
  • Adjusted pretax income of at least $1.2 billion, more than doubling versus fiscal 2025
  • Adjusted EBITDA margin of 20% to 22%, up 370 to 570 basis points versus fiscal 2025
  • 調整後的自由現金流至少爲10億美元,是公司預計的2025財年金額的三倍,約100%的調整後稅前收入減去現金稅轉換爲調整後的自由現金流。
  • 調整後的稅前收入至少爲12億美元,超過2025財年的兩倍。
  • 調整後的EBITDA利潤率爲20%至22%,比2025財年提升370到570個點子。

"We've delivered strong signings growth over the last twelve months, and we expect this momentum to continue as there are growing needs for the essential services Kyndryl provides. Our growth in signings supports our future revenue and earnings trajectory and, in turn, will drive significant free cash flow generation," said Kyndryl Chief Financial Officer David Wyshner. "Our newly authorized share repurchase program is an important step in the evolution of our capital allocation strategy and reflects our commitment to building long-term shareholder value."

「在過去的十二個月裏,我們實現了強勁的簽約增長,我們預計這種勢頭將繼續,因爲Kyndryl所提供的核心服務的需求日益增加。我們的簽約增長支持了我們未來的營業收入和收益軌跡,因此將推動顯著的自由現金流產生,」Kyndryl首席財務官David Wyshner說。「我們新批准的股票回購計劃是我們資本配置戰略演變的重要一步,反映了我們致力於建立長期股東價值的承諾。」

Investor Day Webcast Replay

投資者日網絡廣播重播

Slides from today's presentation and a replay of the event are available at investors.kyndryl.com.

今天演示的幻燈片和活動的重播可在 investors.kyndryl.com 獲取。

About Kyndryl

關於Kyndryl

Kyndryl (NYSE: KD) is the world's largest IT infrastructure services provider, serving thousands of enterprise customers in more than 60 countries. The Company designs, builds, manages and modernizes the complex, mission-critical information systems that the world depends on every day. For more information, visit .

Kyndryl(紐交所:KD)是全球最大的IT製造行業服務提供商,在60多個國家爲數千家企業客戶提供服務。公司設計、構建、管理和現代化世界每天依賴的複雜、關鍵的信息系統。欲了解更多信息,請訪問。

Forward-Looking Statements

前瞻性聲明

This press release contains "forward-looking statements" within the meaning of the Private Securities Litigation Reform Act of 1995. All statements other than statements of historical fact included in this press release, including statements concerning the Company's plans, objectives, goals, beliefs, business strategies, future events, business condition, results of operations, financial position, business outlook and business trends and other non-historical statements, including without limitation the outlook and financial objectives in this press release (which does not assume any future acquisitions or divestitures), are forward-looking statements. Such forward-looking statements often contain words such as "aim," "anticipate," "believe," "contemplate," "could," "estimate," "expect," "forecast," "intend," "may," "objective," "opportunity," "plan," "poised," "position," "predict," "project," "should," "seek," "target," "will," "would" and other similar words or expressions or the negative thereof or other variations thereon. Forward-looking statements are based on the Company's current assumptions and beliefs regarding future business and financial performance.

本新聞稿包含根據1995年私人證券訴訟改革法案的定義的「前瞻性陳述」。 本新聞稿中包括的除歷史事實聲明之外的所有陳述,包括關於公司的計劃、目標、信念、業務策略、未來事件、業務控件、運營結果、財務狀況、業務前景和業務趨勢以及其他非歷史陳述,包括但不限於本新聞稿中的前景和財務目標(不假設任何未來收購或剝離),均爲前瞻性陳述。 此類前瞻性陳述通常包含「目標」、「預測」、「相信」、「考慮」、「可能」、「估計」、「期望」、「預測」、「打算」、「可能」、「目標」、「機會」、「計劃」、「準備」、「位置」、「預測」、「項目」、「應當」、「尋求」、「目標」、「將」、「會」等詞或其他類似詞或表達式的否定形式或其他變體。 前瞻性陳述基於公司當前關於未來業務和財務表現的假設和信念。

The Company's actual business, financial condition or results of operations may differ materially from those suggested by forward-looking statements as a result of risks and uncertainties which include, among others: failure to attract new customers, retain existing customers or sell additional services to customers; failure to meet growth and productivity objectives; competition; impacts of relationships with critical suppliers and partners; failure to address and adapt to technological developments and trends; inability to attract and retain key personnel and other skilled employees; impact of economic, political, public health and other conditions; damage to the Company's reputation; inability to accurately estimate the cost of services and the timeline for completion of contracts; service delivery issues; the Company's ability to successfully manage acquisitions and dispositions, including integration challenges, failure to achieve objectives, the assumption of liabilities and higher debt levels; the impact of our business with government customers; failure of the Company's intellectual property rights to prevent competitive offerings and the failure of the Company to obtain, retain and extend necessary licenses; the impairment of our goodwill or long-lived assets; risks relating to cybersecurity, data governance and privacy; risks relating to non-compliance with legal and regulatory requirements; adverse effects from tax matters and environmental matters; legal proceedings and investigatory risks; the impact of changes in market liquidity conditions and customer credit risk on receivables; the Company's pension plans; the impact of currency fluctuations; risks related to the Company's spin-off; and risks related to the Company's common stock and the securities market.

公司的實際業務、財務狀況或運營結果可能與前瞻性陳述所暗示的有重大差異,原因包括但不限於:未能吸引新客戶、留住現有客戶或向客戶銷售額外服務;未能達到增長和生產力目標;競爭;與關鍵供應商和夥伴關係的影響;未能應對和適應技術發展和趨勢;無法吸引和留住關鍵人員及其他熟練員工;經濟、政治、公共衛生及其他情況的影響;對公司聲譽的損害;未能準確估算服務成本和合同完成時間;服務交付問題;公司成功管理收購和處置的能力,包括整合挑戰、未能實現目標、承擔負債和更高的債務水平;與政府客戶的業務影響;公司知識產權未能防止競爭產品及公司未能獲得、保持和延續必要許可的失敗;我們商譽或長期資產的減值;與網絡安全、數據治理和隱私相關的風險;與不遵守法律和監管要求相關的風險;稅務和環保事項的不利影響;法律訴訟和調查風險;市場流動性條件和客戶信用風險對應收賬款的影響;公司的養老金計劃;貨幣波動的影響;與公司分拆相關的風險;以及與公司普通股和證券市場相關的風險。

Additional risks and uncertainties include, among others, those risks and uncertainties described in the "Risk Factors" section of the Company's Annual Report on Form 10-K for the fiscal year ended March 31, 2024, and may be further updated from time to time in the Company's subsequent filings with the Securities and Exchange Commission. Any forward-looking statement in this press release speaks only as of the date on which it is made. Except as required by law, the Company assumes no obligation to update or revise any forward-looking statements, whether as a result of new information, future events or otherwise.

所有風險和不確定性還包括公司年度報告中"風險因素"部分中描述的風險和不確定性,截至2024年3月31日結束的財年第10-k表格,並可能在公司隨後向證券交易委員會提交的文件中隨時進一步更新。本新聞稿中任何前瞻性聲明僅代表其發佈日期。除非法律要求,公司不承擔更新或修訂任何前瞻性聲明的義務,無論是基於新信息、未來事件或其他原因。

Non-GAAP Financial Measures

非GAAP財務指標

In an effort to provide investors with additional information regarding its outlook, the Company has provided certain metrics that are not calculated based on generally accepted accounting principles (GAAP), such as constant-currency results, adjusted EBITDA margin, adjusted pretax income and adjusted free cash flow. For more information about these non-GAAP financial measures, see the Company's Investor Day slide presentation available at investors.kyndryl.com. A reconciliation of forward-looking non-GAAP financial information is not included in this release because the Company is unable to predict with reasonable certainty some individual components of such reconciliation without unreasonable effort. These items are uncertain, depend on various factors and could have a material impact on future results computed in accordance with GAAP. All projections are based on recent exchange rates as of October 2024.

爲了向投資者提供關於其前景的額外信息,公司提供了一些不根據公認會計原則(GAAP)計算的指標,例如恒定貨幣結果、調整後的EBITDA利潤率、調整後的稅前收入和調整後的自由現金流。有關這些非GAAP財務指標的更多信息,請參見公司投資者日幻燈片演示,網址爲 investors.kyndryl.com。由於公司無法在合理的確定性下預測此類調整的某些單獨元件,因此本發佈中未包含前瞻性非GAAP財務信息的對賬。 這些項目是不確定的,取決於各種因素,並可能對根據GAAP計算的未來結果產生重大影響。所有預測均基於截至2024年10月的最新匯率。

Investor Contact:
[email protected]

投資者聯繫:
[email protected]

Media Contact:
[email protected]

媒體聯繫人:
[email protected]

SOURCE Kyndryl

Kyndryl來源

WANT YOUR COMPANY'S NEWS FEATURED ON PRNEWSWIRE.COM?

想要您公司的新聞在PRNEWSWIRE.COM上特色呈現嗎?

440k+
440k+

Newsrooms &
新聞發佈室&

Influencers
影響力人士
9k+
9k+

Digital Media
數字媒體

Outlets
Outlets
270k+
270k+

Journalists
記者

Opted In
Opted In
GET STARTED
開始使用
声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息
    搶先評論