Baker Hughes Company
0RR8.L
$47.13 -2.98%
Exchange: LSE | Sector: Energy | Industry: Oil Gas Equipment Services
Q3 2024
Published: Oct 23, 2024

Earnings Highlights

  • Revenue of $6.91B up 4% year-over-year
  • EPS of $0.77 increased by 51% from previous year
  • Gross margin of 22.3%
  • Net income of 766.00M
  • "N/A" -

Baker Hughes Company (0RR8.L) QQ3 2024 Earnings Analysis: Solid Q3 2024 profitability and robust free cash flow amid cyclicality in Oil & Gas Equipment & Services

Executive Summary

Baker Hughes reported Q3 2024 revenue of $6.908 billion with a gross profit of $1.542 billion, delivering a gross margin of 22.32% and an EBITDA margin of 19.43%. The company generated operating income of $0.93 billion (operating margin 13.46%) and net income of $0.766 billion, or $0.77 per share, representing YoY improvements of 30%+ in operating income, 48%+ in net income, and about 51% in EPS. These results reflect favorable product mix, disciplined cost management, and ongoing efficiency gains that supported strong cash generation. Net cash provided by operating activities stood at $1.01 billion, with free cash flow of $0.71 billion after maintaining capex of $0.30 billion. The firm continued to allocate capital to shareholder returns (dividends of $0.209 billion and share repurchases of $0.152 billion) while sustaining a solid balance sheet (total debt $6.04B, net debt $3.37B; cash $2.66B). Liquidity remains robust with a current ratio of 1.30 and interest coverage of ~16.9x. The results underscore Baker Hughesโ€™ differentiated, diversified portfolio across OFS, OFE, TPS and DS, providing resilience against commodity cycles and positioning the company to capture long-cycle subsea and digital solutions growth opportunities. While the outlook remains tied to oil capex cycles and broader macro dynamics, the companyโ€™s cash generation and capital allocation discipline support a constructive longer-term investment thesis.

Key Performance Indicators

Revenue

6.91B
QoQ: -3.24% | YoY:4.02%

Gross Profit

1.54B
22.32% margin
QoQ: 3.49% | YoY:14.82%

Operating Income

930.00M
QoQ: 9.80% | YoY:30.25%

Net Income

766.00M
QoQ: 32.30% | YoY:47.88%

EPS

0.77
QoQ: 32.76% | YoY:50.98%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $6.908B (+4.02% YoY; -3.24% QoQ); Gross Profit: $1.542B (YoY +14.82%; QoQ +3.49%); Operating Income: $0.93B (YoY +30.25%; QoQ +9.80%); Net Income: $0.766B (YoY +47.88%; QoQ +32.30%); EPS: $0.77 (YoY +50.98%; QoQ +32.76%); EBITDA: $1.342B (margin ~19.43%); Net Margin: 11.09%; Gross Margin: 22.32%; Operating Margin: 13.46%; Cash from Ops: $1.01B; Free Cash Flow: $0.71B; Capex: $-0.30B; Net Debt: $-3.37B (net debt); Cash: $2.664B; Total Debt: $6.036B; Current Ratio: 1.30; Quick Ratio: 0.89...

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