Walmart Inc
WMT.NE
$43.46 0.32%
Exchange: NEO | Sector: Consumer Defensive | Industry: Discount Stores
Q1 2026
Published: Jun 6, 2025

Earnings Highlights

  • Revenue of $165.61B up 2.5% year-over-year
  • EPS of $0.56 decreased by 11.1% from previous year
  • Gross margin of 24.9%
  • Net income of 4.49B
  • "N/A" - N/A

Walmart Inc (WMT.NE) QQ1 2026 Results: Revenue Resilience and Margin Dynamics in a Competitive Consumer Defensive Landscape

Executive Summary

Walmart’s QQ1 2026 results exhibit a resilient top line amid a cautious consumer environment, underpinned by stable demand for essential goods and disciplined pricing. Revenue reached $165.6 billion, up 2.5% year-over-year, while gross margin held near 24.9%, contributing to an operating margin of about 4.3% and an operating income of $7.14 billion. Net income declined to $4.49 billion and earnings per share (EPS) were $0.56, reflecting pressures from promotions and mix rather than a fundamental deterioration in demand. The quarter benefited from robust operating cash flow of $5.41 billion and a free cash flow of approximately $0.43 billion, but capital allocation was skewed toward share repurchases and dividends, yielding a net cash outflow from investing activities offset by financing actions. Looking forward, Walmart remains focused on reinforcing its omnichannel capabilities, maintaining price leadership, and driving efficiency across the supply chain to protect margins while growing e-commerce penetration and Sam’s Club membership. Balance-sheet metrics show a strong asset base and sizable cash reserves, but liquidity is tighter on a current-liability basis, highlighting ongoing working-capital considerations in a macro environment characterized by promotional intensity and consumer caution. The investment thesis hinges on Walmart translating its scale and cost advantages into improved margins over time through efficiency gains and an expanding mix of higher-margin services and e-commerce offerings, while monitoring ongoing competitive dynamics in the Discount Stores segment.

Key Performance Indicators

Revenue

165.61B
QoQ: -8.28% | YoY:2.54%

Gross Profit

41.31B
24.94% margin
QoQ: -6.93% | YoY:3.07%

Operating Income

7.14B
QoQ: -9.21% | YoY:4.30%

Net Income

4.49B
QoQ: -14.60% | YoY:-12.09%

EPS

0.56
QoQ: -13.85% | YoY:-11.11%

Revenue Trend

Margin Analysis

Key Insights

Revenue: USD 165.609B; YoY +2.54%, QoQ -8.28% Gross Profit: USD 41.306B; YoY +3.07%, QoQ -6.93%; Gross Margin 24.94% Operating Income: USD 7.135B; YoY +4.30%, QoQ -9.21%; Operating Margin ~4.31% Net Income: USD 4.487B; YoY -12.09%, QoQ -14.60%; Net Margin ~2.71% EPS: USD 0.56; YoY -11.11%, QoQ -13.85% Free Cash Flow: USD 0.425B; Operating Cash Flow: USD 5.411B Cash Balance: USD 9.932B Total Assets: USD 262.372B; Total Liabilities: USD 171.724B; Total Shareholders’ Equity: USD 83.793B Debt: USD...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2026 177,402.00 0.88 +4.8% View
Q1 2026 165,609.00 0.56 +2.5% View
Q4 2025 180,554.00 0.65 +4.1% View
Q3 2025 169,588.00 0.57 +5.5% View
Q2 2025 169,335.00 0.56 +4.8% View