Salesforce Inc
FOO.DE
€205.10 1.41%
Exchange: XETRA | Sector: Technology | Industry: Software Application
Q2 2025
Published: Aug 29, 2024

Earnings Highlights

  • Revenue of $9.33B up 8.4% year-over-year
  • EPS of $1.47 increased by 13.9% from previous year
  • Gross margin of 76.8%
  • Net income of 1.43B
  • "N/A" -

Salesforce Inc (FOO.DE) QQ2 2025 Results – Revenue Growth at 8.4% YoY, Expanding Margin Profile, and Solid Free Cash Flow

Executive Summary

Salesforce delivered a robust QQ2 2025 performance characterized by solid top-line momentum and healthy operating leverage. Total revenue reached $9.325 billion, up 8.39% year over year and 2.10% quarter over quarter, underscoring continued demand for the company’s multi-product CRM platform. Gross profit stood at $7.166 billion with a gross margin of 76.8%, while operating income of $1.783 billion translated into an operating margin of 19.1%. Net income of $1.429 billion and EPS of $1.48 (diluted $1.47) reflect ongoing profitability against sustained R&D and go-to-market investments. Free cash flow generated was $755 million, supported by $892 million of cash flow from operations, and cash and equivalents totaled $7.682 billion at period end, with total debt of $11.393 billion and net debt of $3.711 billion (cash net of debt). The quarter demonstrates Salesforce’s ability to monetize a large customer base while scaling profitability, aided by a favorable mix of revenue, disciplined expense management, and strategic capital allocation (notably buybacks totaling around $4.335 billion during the period). While softness in some enterprise IT budgets remains a macro headwind, the company benefits from a broad portfolio (Sales, Service, Marketing, Commerce, Tableau, MuleSoft, Slack) and ongoing investments in AI-enabled capabilities that should support ARR expansion and higher cross-sell opportunity over time. Investors should monitor data-driven monetization of AI features, pipeline health across large enterprises, and the potential for operating margin uplift as investments mature and scale benefits accrue.

Key Performance Indicators

Revenue

9.33B
QoQ: 2.10% | YoY:8.39%

Gross Profit

7.17B
76.85% margin
QoQ: 2.80% | YoY:10.42%

Operating Income

1.78B
QoQ: 4.33% | YoY:20.80%

Net Income

1.43B
QoQ: -6.78% | YoY:12.79%

EPS

1.48
QoQ: -6.33% | YoY:13.85%

Revenue Trend

Margin Analysis

Key Insights

  • Revenue: $9.325B, YoY +8.39%, QoQ +2.10%.
  • Gross Profit: $7.166B, YoY +10.42%, QoQ +2.80%; Gross Margin: 76.85%.
  • Operating Income: $1.783B, YoY +20.80%, QoQ +4.33%; Operating Margin: 19.12%.
  • Net Income: $1.429B, YoY +12.79%, QoQ -6.78%; Net Margin: 15.32%; EPS (GAAP) $1.48, Diluted $1.47, YoY EPS +13.85%, QoQ -6.33%.
  • EBITDA: $2.789B; EBITDA Margin: ~29.90%.

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2026 10,236.00 1.96 +9.8% View
Q1 2026 9,829.00 1.59 +7.6% View
Q4 2025 9,993.00 1.75 +7.6% View
Q3 2025 9,444.00 1.58 +8.3% View
Q2 2025 9,325.00 1.47 +8.4% View