TakeTwo Interactive
0LCX.L
$260.70 1.68%
Exchange: LSE | Sector: Technology | Industry: Media Entertainment
Q1 2026
Published: Aug 7, 2025

Earnings Highlights

  • Revenue of $1.50B up 12.4% year-over-year
  • EPS of $-0.07 increased by 95.7% from previous year
  • Gross margin of 62.8%
  • Net income of -11.90M
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Take-Two Interactive Software Inc (0LCX.L) QQ1 2026 Results – Revenue Up, Net Loss Narrow, Fortified Balance Sheet Supports Ongoing Investment

Executive Summary

Take-Two Interactive’s QQ1 2026 results show a revenue uptick driven by the company’s durable IP and live-service monetization, underscored by a gross margin of approximately 62.8% and an EBITDA of $280.4 million. Revenue of $1.5038 billion reflects a 12.4% year-over-year increase, while the quarter’s net income of -$11.9 million and EPS of -$0.0658 indicate near-term profitability being pressured by ongoing investments, SG&A intensity, and other one-time or non-operating factors. Importantly, liquidity remains robust with cash and equivalents of about $2.03 billion and total liquidity including short-term investments around $2.04 billion, helping To fund continued IP development and live-service enhancements while the company navigates a negative quarterly operating cash flow and a heavier balance sheet burden from debt and intangible assets. In the near term, Take-Two appears to be prioritizing pipeline development and monetization upgrades over short-cycle profitability. The company’s operating margin sits at roughly 1.44% for the period, with an EBITA-positive, cash-generative profile on an annual basis implied by its large IP library and ongoing digital adoption. Management commentary—where available in the earnings call—likely emphasized the cadence of title releases, live-service revenue ramp, and cost discipline as key drivers of mid-to-long-term growth. Investors should monitor the pace of new game launches, the mix shift toward digital and microtransaction-driven revenues, and the company’s ability to convert pipeline investments into sustainable earnings growth while balancing leverage and liquidity metrics.

Key Performance Indicators

Revenue

1.50B
QoQ: -4.97% | YoY:12.37%

Gross Profit

945.00M
62.84% margin
QoQ: 17.64% | YoY:22.55%

Operating Income

21.60M
QoQ: 100.57% | YoY:111.68%

Net Income

-11.90M
QoQ: 99.68% | YoY:95.46%

EPS

-0.07
QoQ: 99.69% | YoY:95.67%

Revenue Trend

Margin Analysis

Key Insights

  • Revenue: $1.5038B, YoY +12.37%, QoQ -4.97%
  • Gross Profit: $0.945B, YoY +22.55%, QoQ +17.64%, Gross Margin 62.84%
  • Operating Income: $21.6M, YoY +111.68%, QoQ +100.57%, Operating Margin 1.44%
  • EBITDA: $280.4M, Margin 18.65%
  • Net Income: -$11.9M, YoY improvement in losses vs prior periods but still negative, Net Margin -0.79%

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 1,503.80 -0.07 +12.4% View
Q4 2025 1,582.50 -21.08 +13.1% View
Q3 2025 1,359.80 -0.71 -0.5% View
Q2 2025 1,353.10 -2.08 +4.2% View
Q1 2025 1,338.20 -1.52 +4.2% View