Perfect Moment Ltd Common
PMNT
$0.500 12.70%
Exchange: NASDAQ | Sector: Consumer Cyclical | Industry: Apparel Manufacturers
Q1 2026
Published: Aug 14, 2025

Earnings Highlights

  • Revenue of $1.47M down 69.6% year-over-year
  • EPS of $-0.21 increased by 61.1% from previous year
  • Gross margin of 60.4%
  • Net income of -3.82M
  • "No transcript quotes available in the provided data." - Management

Perfect Moment Ltd Common Stock (PMNT) QQ1 2026 Results – Revenue Decline, Persistent Losses, and Lean Balance Sheet With Early-Stage Growth Potential

Executive Summary

Perfect Moment Ltd reported QQ1 2026 revenue of $1.472 million, a steep year-over-year decline of 69.59% and a sequential drop of 87.37% (QoQ). The top-line deterioration was accompanied by a gross profit of $0.889 million and a solid gross margin of approximately 60.4%, yet the company generated a substantial operating loss of $3.055 million and an EBITDA of $-2.909 million, resulting in a net loss of $3.819 million and an EPS of $-0.21 for the quarter. The quarterly results highlight a business in a lightweight scale-up phase, with SG&A and other operating expenses dominated by fixed costs that aren’t yet sufficiently covered by revenue evolution. Cash and equivalents stood at roughly $2.99 million at quarter-end, while net debt remained negative at about $1.25 million, signaling a modest liquidity cushion but a fragile path to sustained profitability. Looking ahead, the company faces a high bar to return to profitability in a consumer discretionary environment characterized by price sensitivity and seasonality in ski/adventure apparel. Near-term investors should monitor whether PMNT can stabilize revenue, improve operating leverage, and grow DTC revenue while controlling marketing and G&A spend. The balance sheet shows a lean equity base relative to liabilities, suggesting potential dilution risk if additional capital is required to fund working capital and growth initiatives. In summary, the QQ1 2026 results depict a venture in early-stage rebuild mode with meaningful upside if revenue momentum and cost discipline cohere, but with substantial execution risk still intact.

Key Performance Indicators

Revenue

1.47M
QoQ: -87.37% | YoY:-69.59%

Gross Profit

889.00K
60.39% margin
QoQ: -86.09% | YoY:-44.26%

Operating Income

-3.06M
QoQ: -136.09% | YoY:43.33%

Net Income

-3.82M
QoQ: -53.87% | YoY:33.49%

EPS

-0.21
QoQ: -40.00% | YoY:61.11%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $1.472 million in QQ1 2026, down 69.59% YoY and 87.37% QoQ. Gross Profit: $0.889 million; Gross Margin: 60.39%. Operating Income: $(3.055) million; Operating Margin: (βˆ’2.08)%. EBITDA: $(2.909) million; EBITDARatio: (βˆ’1.9762). Net Income: $(3.819) million; Net Margin: (βˆ’2.59)%. EPS: $(0.21) per share; Diluted EPS: $(0.21). Balance Sheet highlights: Cash and cash equivalents: $2.986 million; Total current assets: $7.852 million; Total current liabilities: $7.320 million; Working ca...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 1.47 -0.21 -69.6% View
Q3 2025 11.66 -0.15 -8.4% View
Q2 2025 3.83 -0.17 -34.9% View
Q1 2025 0.97 -0.22 -1.4% View
Q4 2024 4.84 -0.54 +20.7% View