Outdoor Holding Company
POWW
$1.470 1.38%
Exchange: NASDAQ | Sector: Industrials | Industry: Aerospace Defense
Q1 2026
Published: Aug 8, 2025

Earnings Highlights

  • Revenue of $11.86M down 65.5% year-over-year
  • EPS of $-0.06 increased by 11.6% from previous year
  • Gross margin of 87.2%
  • Net income of -6.46M
  • "N/A" - N/A

Outdoor Holding Company (POWW) QQ1 2026 Results: Revenue Decline Amid Balance Sheet Strength and High Intangible Assets

Executive Summary

1Q26 results for Outdoor Holding Company show a sharp year-over-year and quarter-over-quarter revenue decline (revenue of $11.86 million, down 65.50% YoY and 61.69% QoQ) alongside continuing profitability pressures, as evidenced by an EBITDA loss of $2.00 million and a net loss of $6.46 million (-$0.0619 per share). The company sustains a strong cash position (cash and equivalents of $63.36 million) and a net cash position (net debt of -$39.90 million), underpinned by a conservative balance sheet despite a very large stock of goodwill and intangible assets. However, operating cash flow remained negative ($-6.67 million) and free cash flow was also negative ($-7.56 million) for the quarter, signaling near-term cash burn despite ample liquidity. The balance sheet indicates robust liquidity (current ratio approximately 3.3) with meaningful asset intensity in goodwill and intangible assets totaling about $186.73 million, alongside total assets of $269.47 million. Liabilities are modest at $46.96 million, yielding substantial stockholders’ equity of $222.51 million. The negative cash flow from operations vs. the sizable investment/inventory moves suggests strategic shifts or seasonality that may not yet be reflected in an improving profitability trajectory. Management commentary (where available) and forward guidance are not included in the provided data, limiting a full view of strategic restoration plans. Investors should monitor progress on monetization of GunBroker and other scale advantages, cost-structure optimization, and any impairment considerations tied to high intangible assets.

Key Performance Indicators

Revenue

11.86M
QoQ: -61.69% | YoY:-65.50%

Gross Profit

10.33M
87.16% margin
QoQ: 5.58% | YoY:24.70%

Operating Income

-6.01M
QoQ: 37.88% | YoY:31.84%

Net Income

-6.46M
QoQ: 8.54% | YoY:13.83%

EPS

-0.06
QoQ: 5.93% | YoY:11.57%

Revenue Trend

Margin Analysis

Key Insights

  • YoY Revenue Change: -65.50%; QoQ Revenue Change: -61.69% Operating Income: -$6,010,675; Operating Margin: -50.69% EBITDA: -$2,004,342; EBITDA Margin: -16.90% Net Income: -$6,458,327; Net Margin: -54.47% EPS: -$0.0619; Weighted Avg Shares: 116,841,148 Cash Flow: Operating cash flow = -$6,673,464; Free cash flow = -$7,563,264 Cash and Equivalents: $63,363,812 at period end Balance Sheet Health: Total Assets $269,467,322; Total Liabilities $46,961,667; Equity $222,505,655 Debt Position: Long-term debt $22,626,520; Short-term debt $839,300; Net Debt = -$39,897,992 Liquidity: Current assets $74,486,175 and current liabilities $22,725,627; Current ratio ~3.28 Capital Allocation: Cash used for investing activities $42,057,105; capital expenditures $889,800; stock repurchase $(171,200); dividends paid $(638,022) Key Asset Intensity: Goodwill $90,870,094; Intangible assets $95,861,409; Goodwill and Intangibles combined ~$186.73 million Earnings Quality: Net loss despite very high gross margin due to substantial operating expenses and other costs Note on Data: YoY/QoQ metrics reflect reported quarterly data; QQ1 2026 results are versus QQ1 2025 and prior quarters as disclosed in the financials.

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 11.86 -0.06 -65.5% View
Q1 2025 30.95 -0.07 -9.6% View
Q4 2024 40.42 -0.04 -7.5% View
Q3 2024 36.01 -0.03 -7.0% View
Q2 2024 34.37 -0.07 -28.8% View