Reported Q: Q4 2025 Rev YoY: -6.4% EPS YoY: +1,130.0% Move: -2.67%
Azenta Inc
0HQ1.L
$24.80 -2.67%
Exchange LSE Sector Healthcare Industry Medical Instruments Supplies
Q4 2025
Published: Nov 21, 2025

Company Status Snapshot

Fast view of the latest quarter outcome for 0HQ1.L

Reported

Report Date

Nov 21, 2025

Quarter Q4 2025

Revenue

159.19M

YoY: -6.4%

EPS

1.02

YoY: +1,130.0%

Market Move

-2.67%

Previous quarter: Q3 2025

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Earnings Highlights

  • Revenue of $159.19M down 6.4% year-over-year
  • EPS of $1.02 increased by 1% from previous year
  • Gross margin of 45.4%
  • Net income of 47.14M
  • "N/A" - N/A
0HQ1.L
Company 0HQ1.L

Executive Summary

Overview: Azenta reported QQ4 2025 revenue of $159.19 million, down 6.39% year-over-year but up 10.59% quarter-over-quarter, with a gross margin of 45.40% and operating income of $1.37 million. Net income was $47.14 million, driven largely by a negative tax expense (approximately $44.55 million) that produced an outsized net bottom line. Earnings per diluted share stood at $1.02, reflecting the one-off tax benefit rather than a sustained operating cash flow uplift.

Profitability and cash-flow signal: The quarter shows a mixed signal. While gross margin remains robust at mid-40s, operating leverage is modest with operating income near breakeven. EBITDA was $1.90 million, and the company posted a strong net income aided by tax benefits, masking ongoing scale-up investments (R&D of about $8.26 million and SG&A around $61.71 million). The QoQ improvement versus Q3 2025 underscores execution in cost control and favorable mix, but the sustainability of net income depends on recurring operating performance and tax treatment.

Strategic positioning and outlook: Azenta operates across Life Sciences Products and Life Sciences Services, positioning it to benefit from ongoing demand for automated sample management, cold-chain solutions, and informatics in the life sciences value chain. The QQ4 2025 results reflect a company transitioning from revenue normalization to a more stabilized margin profile, while remaining exposed to R&D investments and service mix dynamics. Absence of formal forward guidance in the provided materials suggests investors should hinge-guard on management commentary for a directional view on multi-quarter profitability and cash flow normalization.

Key Performance Indicators

Revenue
Decreasing
159.19M
QoQ: 10.59% | YoY: -6.39%
Gross Profit
Increasing
72.27M
45.40% margin
QoQ: 6.66% | YoY: 4.12%
Operating Income
Increasing
1.37M
QoQ: 292.44% | YoY: 111.18%
Net Income
Increasing
47.14M
QoQ: 189.26% | YoY: 1 045.77%
EPS
Increasing
1.03
QoQ: 189.57% | YoY: 1 130.00%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q4 2025 159.19 1.02 -6.4% View
Q3 2025 143.94 -1.15 -16.7% View
Q2 2025 143.42 -0.88 -9.9% View
Q1 2025 147.51 -0.29 -4.4% View
Q4 2024 170.06 -0.10 -1.3% View