Haemonetics Corporation
HAE
$50.49 3.25%
Exchange: NYSE | Sector: Healthcare | Industry: Medical Instruments Supplies
Q2 2025
Published: Nov 7, 2024

Earnings Highlights

  • Revenue of $345.51M up 8.6% year-over-year
  • EPS of $0.66 increased by 34.7% from previous year
  • Gross margin of 54.2%
  • Net income of 33.83M
  • "'Our growth and record financial performance speak to our agility and our progress executing our long-range plan.' - Chris Simon, CEO" - Chris Simon

Haemonetics Corporation (HAE) Q2 2025 Financial Results: Solid Growth Amid Transition Challenges and Strategic Initiatives

Executive Summary

Haemonetics Corporation reported a strong financial performance for the second quarter of fiscal 2025 with revenues reaching $346 million, a 9% increase year-over-year, and an adjusted EPS of $1.12, up 13% compared to the prior year. This performance was predominantly driven by significant growth in the hospital segment, particularly through enhanced offerings in blood management technologies, which saw a 31% revenue increase. The company is navigating the transition challenges associated with its key customer, CSL, impacting plasma revenues, but remains optimistic about market positioning and ongoing share gains in a competitive environment. Management is raising its organic growth guidance due to positive momentum in the hospital business, while closely managing expenses and optimizing operations to ensure sustained profitability. The overall sentiment reflects confidence in achieving long-term strategic goals despite near-term market fluctuations.

Key Performance Indicators

Revenue

345.51M
QoQ: 2.78% | YoY:8.59%

Gross Profit

187.44M
54.25% margin
QoQ: 7.15% | YoY:9.93%

Operating Income

51.70M
QoQ: 30.04% | YoY:46.44%

Net Income

33.83M
QoQ: -11.84% | YoY:35.82%

EPS

0.66
QoQ: -12.00% | YoY:34.69%

Revenue Trend

Margin Analysis

Key Insights

1. Total Revenue: $346 million, an increase of 9% YoY 2. Adjusted EPS: $1.12, a 13% increase YoY 3. Gross Profit Margin: 56.7%, up 270 bps YoY 4. Operating Income: $83.5 million, representing 24.2% of revenue 5. Net Income: $33.83 million 6. Cash Flow from Operations: $21.4 million, decreased from $118 million YoY 7. Free Cash Flow: $20.4 million, down from $84.8 million YoY. Management forecasts total revenue growth for fiscal 2025 to be within the range of 5% to 8% while organic growth is gui...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 321.39 0.70 -4.4% View
Q4 2025 330.60 1.17 -3.7% View
Q3 2025 348.54 0.74 +3.7% View
Q2 2025 345.51 0.66 +8.6% View
Q1 2025 336.17 0.74 +8.0% View