Walmart’s QQ3 2025 results reflect a solid top-line performance with a resilient consumer environment for grocery and essential goods. Revenue reached $169.588 billion, up 5.46% year over year and 0.15% quarter over quarter, supported by strength in U.S. grocery and ongoing omni-channel initiatives. Gross profit was $42.248 billion with a gross margin of 24.912%, while operating income totaled $6.708 billion for an operating margin of 3.96%. Net income was $4.577 billion, yielding a net margin of 2.70% and earnings per share of $0.57. Management commentary in the period emphasized continued investments in price leadership, supply chain capabilities, and e-commerce acceleration as key drivers of competitive advantage. On the liquidity and balance sheet side, Walmart generated $6.561 billion of operating cash flow and produced free cash flow of $0.372 billion after capital expenditures of $6.189 billion, leaving cash and cash equivalents of about $10.049 billion and total liquidity support from a robust asset base. The company carries a disciplined debt profile with net debt around $51.7 billion and a debt-to-capitalization ratio near 0.412. While the current ratio sits below 1.0 at 0.848, Walmart’s strong operating cash flow, inventory discipline, and scale provide a strong cushion to fund ongoing investments and capital allocation plans.
Key Performance Indicators
Revenue
Increasing
169.59B
QoQ: 0.15% | YoY: 5.46%
Gross Profit
Increasing
42.25B
24.91% margin
QoQ: -0.65% | YoY: 6.63%
Operating Income
Increasing
6.71B
QoQ: -15.52% | YoY: 8.16%
Net Income
Increasing
4.58B
QoQ: 1.69% | YoY: 910.38%
EPS
Increasing
0.57
QoQ: 1.79% | YoY: 916.04%
Revenue Trend
Margin Analysis
Financial Highlights
Revenue: $169.588B, YoY +5.46%, QoQ +0.15%. Gross Profit: $42.248B, Gross Margin 24.912% (0.2491). Operating Income: $6.708B, Operating Margin 3.955% (0.0396). Net Income: $4.578B, Net Margin 2.699% (0.0270). EPS: $0.57 (diluted $0.57). EBITDA: $6.708B, EBITDA Margin 3.96%. Cash from Operations: $6.561B. Free Cash Flow: $0.372B. Capex: $6.189B. Net Debt: ~$51.7B. Total Assets: $263.399B; Total Liabilities: $168.934B; Total Stockholders’ Equity: $88.108B. Current Ratio: 0.848; Quick Ratio: 0.230; Cash Ratio: 0.098. Dividend Yield: 0.253%. P/E: 35.98x; P/B: 7.48x; P/S: 3.88x; EV/EBITDA: 105.91x.
Income Statement
Metric
Value
YoY Change
QoQ Change
Revenue
169.59B
5.46%
0.15%
Gross Profit
42.25B
6.63%
-0.65%
Operating Income
6.71B
8.16%
-15.52%
Net Income
4.58B
910.38%
1.69%
EPS
0.57
916.04%
1.79%
Key Financial Ratios
Gross Profit Margin
Fair
24.90%
Gross profit margin is moderate, room for improvement in cost management
Operating Profit Margin
Weak
3.96%
Operating margin is below industry norms, profitability concerns
Net Profit Margin
Weak
2.70%
Net profit margin is below industry norms, profitability concerns
Return on Assets
Weak
1.74%
Return on assets suggests inefficient capital allocation
Return on Equity
Fair
5.19%
Return on equity is acceptable but below top-tier companies
Current Ratio
Concern
0.85
Current ratio below safe levels, potential liquidity risk