Lennar Corporation
0JU0.L
$130.53 2.38%
Exchange: LSE | Sector: Consumer Cyclical | Industry: Apparel Retail
Q2 2025
Published: Jun 17, 2025

Earnings Highlights

  • Revenue of $8.38B down 4.4% year-over-year
  • EPS of $1.81 decreased by 47.5% from previous year
  • Gross margin of 9.6%
  • Net income of 477.45M
  • "Transcript not provided" - N/A

Lennar Corporation (0JU0.L) QQ2 2025 Earnings Analysis: Revenue Resilience Amid Margin Pressures and Cash Flow Headwinds in a Volatile US Housing Cycle

Executive Summary

Lennar reported QQ2 2025 revenue of $8.378 billion, a 4.4% year-over-year decline but a 9.8% quarter-over-quarter increase. Gross profit was $804.4 million for a gross margin of 9.60%, with operating income of $648.6 million and net income of $477.4 million, translating to an EPS of $1.81. Despite solid profitability on an absolute basis, year-over-year earnings deteriorated markedly (net income and EPS down about 50% versus the prior-year period) as input costs and operating expenses remained elevated and the company faced a sharp swing in working capital dynamics. Free cash flow was negative at roughly $(1.11) billion, driven by a large working capital outflow (change in working capital of about $(2.09) billion) despite a modest capital expenditure load of $15.2 million. The balance sheet shows a substantial asset base ($34.37 billion) and a strong equity cushion ($22.58 billion) with net debt of approximately $(2.80) billion, suggesting ample balance sheet firepower but ongoing cash-generation challenges from operating activities. Management commentary on the call was not included in the supplied data; as a result, accompanying qualitative insights are limited to reported numbers and typical homebuilding cycle drivers. Investors should monitor housing demand signals, mortgage rate trajectories, and the company’s ability to translate earnings into positive operating cash flow in the second half of 2025.

Key Performance Indicators

Revenue

8.38B
QoQ: 9.77% | YoY:-4.43%

Gross Profit

804.43M
9.60% margin
QoQ: -6.58% | YoY:-42.35%

Operating Income

648.58M
QoQ: -9.12% | YoY:-47.63%

Net Income

477.45M
QoQ: -8.10% | YoY:-49.97%

EPS

1.81
QoQ: -8.59% | YoY:-47.54%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $8.378B (YoY -4.43%; QoQ +9.77%) Gross Profit: $804.43M; Gross Margin: 9.60% EBITDA: $682.40M; EBITDA Margin: 8.15% Operating Income: $648.58M; Operating Margin: 7.74% Net Income: $477.45M; Net Margin: 5.70% EPS (GAAP): $1.81; Diluted EPS: $1.81; Weighted Avg Shares: 261.51M Cash Flow: Operating cash flow $(1.10)B; Free cash flow $(1.11)B Capex: $15.22M; Acquisitions/Investing: $(161.39)M net; Financing: Net cash used by financing activities $(175.37)M Balance Sheet (select): Cash &am...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 8,810.28 2.29 -6.4% View
Q2 2025 8,377.50 1.81 -4.4% View
Q1 2025 7,631.55 1.98 -30.4% View
Q4 2024 9,946.89 4.06 +36.0% View
Q3 2024 9,416.04 4.26 +7.9% View