Host Hotels Resorts Inc
0J66.L
$17.37 0.23%
Exchange: LSE | Sector: Real Estate | Industry: Real Estate General
Q1 2025
Published: May 2, 2025

Earnings Highlights

  • Revenue of $1.59B up 8.4% year-over-year
  • EPS of $0.35 decreased by 7.9% from previous year
  • Gross margin of 54.3%
  • Net income of 248.00M
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0J66.L
Company 0J66.L

Executive Summary

Host Hotels & Resorts delivered a solid QQ1 2025 performance, underpinned by a notable year-over-year revenue uptick and meaningful quarterly sequential strength. Revenue of $1.594 billion supported a gross profit of $866 million and a robust gross margin of 54.3%. Operating income reached $285 million with an operating margin of 17.9%, while net income stood at $248 million and diluted EPS of $0.35. The quarter benefited from favorable demand dynamics in the premium lodging segment, contributing to improved topline and earnings visibility versus the prior year.

From a liquidity and cash-flow perspective, the company generated $305 million in operating cash flow and produced free cash flow of $159 million after capital expenditures of $146 million. Balance-sheet metrics remained solid, with total assets of $12.95 billion and net debt of approximately $5.22 billion. The firm maintained a resilient liquidity profile (cash at end of period around $694 million and a current ratio of 1.64) and a payout ratio of 84.7%, underscoring a commitment to dividend returns amid a moderating growth environment. Management did not publish explicit forward guidance in the QQ1 release; thus, investors should monitor occupancy trends, ADR/RevPAR trajectories, refinancing needs, and capex discipline as primary catalysts for near-term performance.

Overall, the QQ1 2025 results position Host Hotels as a stable income vehicle within the lodging REIT space, with healthy profitability and cash generation, but with elevated leverage and sensitivity to macro travel demand fluctuations. The near-term trajectory will hinge on continued travel demand normalization, rate growth, and the company’s ability to navigate debt maturities and capital allocation decisions in a volatile rate environment.

Key Performance Indicators

Revenue
Increasing
1.59B
QoQ: 11.62% | YoY: 8.36%
Gross Profit
Increasing
866.00M
54.33% margin
QoQ: 13.50% | YoY: 8.11%
Operating Income
Decreasing
285.00M
QoQ: 81.53% | YoY: -2.06%
Net Income
Decreasing
248.00M
QoQ: 129.63% | YoY: -7.46%
EPS
Decreasing
0.35
QoQ: 133.33% | YoY: -7.89%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 1,331.00 0.23 +0.9% View
Q2 2025 1,586.00 0.32 +8.2% View
Q1 2025 1,594.00 0.35 +8.4% View
Q4 2024 1,428.00 0.15 +7.9% View
Q3 2024 1,319.00 0.12 +8.7% View