Microchip Technology reported QQ1 2026 revenue of $1.0755 billion, marking a sequential rebound (+10.8% QoQ) after a year-over-year decline of 13.4%. The quarter delivered a solid gross margin of 53.6% and an EBITDA of $211.3 million, but the company posted a net loss of $18.6 million, driven by higher interest expense and other non-operating items, with an implied net margin of -1.73% and an EPS of -0.086. Despite the bottom-line softness, the business generated robust operating cash flow of $275.6 million and free cash flow of $257.7 million, underscoring strong working capital and non-cash adjustments, while continuing meaningful capital discipline (capex of $17.9 million) and shareholder-friendly activity (dividends of $270.6 million). The balance sheet shows a material leverage position, with total debt of $5.495 billion and net debt of $4.928 billion, against total equity of $6.858 billion, resulting in a net debt to EBITDA proxy well into the high teens to low twenties range for a quarterly snapshot. The investment thesis hinges on a path to deleveraging, ongoing investment in high-margin MCU and analog portfolios, and a potential rebound in demand as enterprise/industrial and automotive markets recovery cycles progress. Investors should monitor leverage progression, gross margin resilience, and any shifts in product mix that could lift operating and net margins over time.
Key Performance Indicators
Revenue
Decreasing
1.08B
QoQ: 10.82% | YoY: -13.36%
Gross Profit
Decreasing
576.70M
53.62% margin
QoQ: 15.09% | YoY: -21.74%
Operating Income
Decreasing
32.10M
QoQ: 132.00% | YoY: -85.35%
Net Income
Decreasing
-18.60M
QoQ: 87.97% | YoY: -114.39%
EPS
Decreasing
-0.09
QoQ: 70.48% | YoY: -135.83%
Revenue Trend
Margin Analysis
Financial Highlights
Revenue: $1,075.5M; YoY: -13.36%; QoQ: +10.82%
Gross Profit: $576.7M; Gross Margin: 53.62%; YoY: -21.74%; QoQ: +15.09%
Operating Income: $32.1M; Operating Margin: 2.98%; YoY: -85.35%; QoQ: +132.00%
EBITDA: $211.3M; EBITDA Margin: 19.65%
Net Income: -$18.6M; Net Margin: -1.73%; YoY: -114.39%; QoQ: +87.97%
EPS: -$0.086; Diluted EPS: -$0.086; YoY: -135.83%; QoQ: +70.48%
D&A: $171.1M; Interest Expense: $57.4M; Other Income/Expenses Net: -$47.9M; Tax Expense: $2.8M
Cash Flow: Net cash provided by operating activities $275.6M; Capex $17.9M; Free Cash Flow $257.7M; Operating Cash Flow Margin not explicitly provided but implied by revenue and costs
Liquidity & Leverage: Cash & Equivalents $566.5M; Total Debt $5.4945B; Net Debt $4.928B; Current Ratio ~2.31x; Quick Ratio ~1.12x; Debt/Equity ~0.80x; Net Debt/EBITDA ~23.3x (quarterly proxy)
Capital Allocation: Dividends Paid $270.6M; Common Stock Issued $12.4M; Net Financing Cash Flow -$443.9M; Net Change in Cash -$205.2M; Cash at End of Period $566.5M
Income Statement
Metric
Value
YoY Change
QoQ Change
Revenue
1.08B
-13.36%
10.82%
Gross Profit
576.70M
-21.74%
15.09%
Operating Income
32.10M
-85.35%
132.00%
Net Income
-18.60M
-114.39%
87.97%
EPS
-0.09
-135.83%
70.48%
Key Financial Ratios
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