Baker Hughes Company
0RR8.L
$48.58 0.80%
Exchange: LSE | Sector: Energy | Industry: Oil Gas Equipment Services
Q3 2025
Published: Oct 24, 2025

Earnings Highlights

  • Revenue of $7.01B up 1.5% year-over-year
  • EPS of $0.61 decreased by 19.5% from previous year
  • Gross margin of 24.3%
  • Net income of 609.00M
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Baker Hughes Company (0RR8.L) QQ3 2025 Earnings Analysis β€” Revenue Resilience, Margin Expansion, and Cash Flow Strength in a Cyclic Energy Market

Executive Summary

Baker Hughes delivered a solid Q3 2025 performance, extending topline growth in a prolonged energy cycle while expanding margins and generating robust cash flow. Revenue reached $7.01 billion, up ~1.5% sequentially and year-over-year, supported by a favorable mix and ongoing cost discipline. Gross margin stood at 24.3% with gross profit of $1.701 billion, and operating income of $0.948 billion yielded an operating margin of 13.5%. EBITDA was $1.159 billion (EBITDA margin ~16.5%), underscoring meaningful operating leverage in the quarter. Net income declined modestly year-over-year to $0.609 billion and came in flat to down quarter-over-quarter on a net margin of 8.69% and earnings per share (GAAP) of $0.62. The year-on-year decrease in net income and EPS largely reflects a variability in tax expense and other non-operating items rather than a broad deterioration in operating performance, as evidenced by a strong EBIT/EBITDA trajectory and healthy cash generation. Financial health remains solid: operating cash flow per share was $0.942 and free cash flow per share was $0.643, supporting a current ratio of 1.41 and a debt-to-capitalization ratio of 0.248. The company exhibits ample interest coverage (~16.9x) and a cash conversion cycle of roughly 98 days, reflecting a typical capital-intensive services giant with a sizable receivables base. The stock trades at ~19.7x trailing/forward earnings with a modest dividend yield (~0.47%), suggesting a balance between growth optionality in digital solutions and the cyclicality inherent to oilfield services.

Key Performance Indicators

Revenue

7.01B
QoQ: 1.45% | YoY:1.48%

Gross Profit

1.70B
24.27% margin
QoQ: 5.33% | YoY:10.31%

Operating Income

948.00M
QoQ: 6.88% | YoY:1.94%

Net Income

609.00M
QoQ: -13.12% | YoY:-20.50%

EPS

0.62
QoQ: -12.68% | YoY:-19.48%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $7.01B in Q3 2025, up 1.48% YoY and 1.45% QoQ. Gross Profit: $1.701B, up 10.31% YoY and 5.33% QoQ; Gross Margin: 24.27%. Operating Income: $0.948B, up 1.94% YoY and 6.88% QoQ; Operating Margin: 13.52%. EBITDA: $1.159B; EBITDA Margin: 16.53%. Net Income: $0.609B; Net Margin: 8.69%; Earnings per Share (EPS): $0.62; Diluted EPS: $0.61. Balance Sheet and Cash Flow: Current ratio 1.41; Quick ratio 1.00; Cash ratio 0.22; Debt-to-Capitalization 0.248; Debt ratio 0.154; Interest Coverage 16...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 7,010.00 0.61 +1.5% View
Q2 2025 6,910.00 0.71 -3.2% View
Q1 2025 6,427.00 0.40 +0.1% View
Q4 2024 7,364.00 1.18 +7.7% View
Q3 2024 6,908.00 0.77 +4.0% View