Take-Two Interactiveβs QQ2 2026 results show a solid top-line performance with a 31.1% year-over-year revenue increase to $1.7738 billion and a stable gross margin of 55.3%. However, the quarter remains GAAP-unprofitable on a net basis due to sustained investment in content development, live-services monetization, and ongoing SG&A/R&D outlays. Despite a negative operating income of $98.0 million, the company generated positive operating cash flow of $128.4 million and free cash flow of $85.1 million, underscoring strong cash-generating capabilities from its digital/recurring revenue streams and working-capital management. The balance sheet remains liquidity-rich with over $1.96 billion in cash and equivalents at period-end and a net debt position of approximately $1.64 billion, reflecting leverage that, while meaningful, supports ongoing IP development and title pipelines.
Looking forward, Take-Two retains a multi-year growth thesis anchored in the GTA/NBA2K franchises, ongoing live-service monetization, and expansion of mobile and PC offerings. Near-term profitability hinges on the cadence of major releases, the monetization of live services, and continued operating discipline as development costs scale. Investors should monitor the evolution of gross-to-operating-margin conversion as the company scales titles and expands recurring revenue, along with how capital allocation (buybacks vs. strategic investment) evolves in the face of a sizable debt load.
Key Performance Indicators
Revenue
Increasing
1.77B
QoQ: 17.95% | YoY: 31.09%
Gross Profit
Increasing
980.50M
55.28% margin
QoQ: 3.76% | YoY: 34.70%
Operating Income
Increasing
-98.00M
QoQ: -553.70% | YoY: 67.03%
Net Income
Increasing
-133.90M
QoQ: -1 025.21% | YoY: 63.37%
EPS
Increasing
-0.73
QoQ: -1 009.42% | YoY: 64.90%
Revenue Trend
Margin Analysis
Financial Highlights
Revenue: $1.7738B; YoY +31.1%; QoQ +17.95%
Gross Profit: $980.5M; YoY +34.70%; QoQ +3.76%
Operating Income: -$98.0M; YoY change implied by reported margin 67.03% (positive delta within a negative base); QoQ change not material to a single-quarter delta context
Net Income: -$133.9M; YoY change +63.37%; QoQ change -1,025.21%
EPS (Diluted): -$0.73; YoY +64.90%; QoQ -1,009.42%
EBITDA: $117.6M; EBITDA Margin: 6.63%
EBITDARatio: 6.63%
Net Margin: -7.55%
Gross Margin: 55.28%
Operating Cash Flow: $128.4M
Free Cash Flow: $85.1M
Cash at End of Period: $1.961B
Net Debt: $1.6426B
Total Liabilities: $6.6484B
Total Equity: $3.4319B
Total Assets: $10.0803B
Capex: $43.3M
Income Statement
Metric
Value
YoY Change
QoQ Change
Revenue
1.77B
31.09%
17.95%
Gross Profit
980.50M
34.70%
3.76%
Operating Income
-98.00M
67.03%
-553.70%
Net Income
-133.90M
63.37%
-1 025.21%
EPS
-0.73
64.90%
-1 009.42%
Key Financial Ratios
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