Adobe delivered a resilient Q2 2025, underscoring the strength of its subscription-led model and the durability of its high-margin software franchises. Revenue of $5.873 billion rose 8.6% year over year (YoY) and 2.8% quarter over quarter (QoQ), supported by broad demand for Digital Media and Digital Experience offerings. Gross profit reached $5.235 billion with a robust gross margin of 89.1%, reflecting strong product margins and favorable mix. Operating income was $2.109 billion, translating to an operating margin of 35.9%, while net income totaled $1.691 billion with a net margin near 28.8%. Diluted EPS stood at $3.95, up 4.5% YoY but down 4.8% QoQ. Cash flow remains exceptionally strong: operating cash flow of $2.191 billion and free cash flow of $2.144 billion, supporting aggressive capital allocation including $3.5 billion of share repurchases. The balance sheet remains robust with cash and cash equivalents of $4.931 billion, total debt of $6.563 billion, and net debt of $1.632 billion; goodwill remains a material asset at $12.83 billion, underscoring the importance of intangible assets in Adobe’s value driver base. In sum, Adobe’s QQ2 2025 results reinforce the durability of its platform economics, while management emphasis on AI-enabled product enhancements and cross-segment monetization points to potential upside, albeit with execution risk tied to continued renewal strength and competitive dynamics.
Key Performance Indicators
Revenue
Increasing
5.87B
QoQ: 2.78% | YoY: 8.60%
Gross Profit
Increasing
5.24B
89.14% margin
QoQ: 2.81% | YoY: 8.81%
Operating Income
Increasing
2.11B
QoQ: -2.50% | YoY: 5.87%
Net Income
Increasing
1.69B
QoQ: -6.63% | YoY: 0.42%
EPS
Increasing
3.95
QoQ: -4.82% | YoY: 4.50%
Revenue Trend
Margin Analysis
Financial Highlights
Revenue performance: $5.873B in Q2 2025, YoY +8.60%, QoQ +2.78%. Gross Profit: $5.235B, gross margin 89.13%, YoY +8.81%, QoQ +2.81%. Operating Income: $2.109B, operating margin 35.91%, YoY +5.87%, QoQ -2.50%. Net Income: $1.691B, net margin 28.79%, YoY +0.42%, QoQ -6.63%. EPS (Diluted): $3.95, YoY +4.50%, QoQ -4.82%. Cash Flow: Net cash provided by operating activities $2.191B; Free cash flow $2.144B (~36.6% FCF margin on revenue). Balance sheet health: cash and cash equivalents $4.931B; total debt $6.563B; net debt $1.632B; goodwill $12.83B; total stockholders’ equity $11.448B. Capital allocation: share repurchases $3.5B; financing outflow $3.788B; cash at period end $4.931B. Leverage and liquidity metrics remain favorable with EBITDA margin ~40.5% and net debt to EBITDA ≈ 0.69x.
Income Statement
Metric
Value
YoY Change
QoQ Change
Revenue
5.87B
8.60%
2.78%
Gross Profit
5.24B
8.81%
2.81%
Operating Income
2.11B
5.87%
-2.50%
Net Income
1.69B
0.42%
-6.63%
EPS
3.95
4.50%
-4.82%
Key Financial Ratios
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