Reported Q: Q1 2026 Rev YoY: +2.5% EPS YoY: -11.1% Move: -2.04%
Walmart Inc
WMT.DE
€106.68 -2.04%
Exchange XETRA Sector Consumer Defensive Industry Discount Stores
Q1 2026
Published: Jun 6, 2025

Company Status Snapshot

Fast view of the latest quarter outcome for WMT.DE

Reported

Report Date

Jun 6, 2025

Quarter Q1 2026

Revenue

165.61B

YoY: +2.5%

EPS

0.56

YoY: -11.1%

Market Move

-2.04%

Previous quarter: Q4 2025

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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
WMT.DE
Company WMT.DE

Executive Summary

Walmart’s QQ1 2026 results underscore a resilient top line in a fluctuating macro environment, with revenue of USD 165.6 billion and a YoY increase of 2.5%. The quarter delivered a solid gross margin of 24.94% (USD 41.31 billion gross profit) and an operating margin of 4.31%, but net income declined to USD 4.49 billion, down 12% year over year. The earnings per share stood at USD 0.56, reflecting a combination of revenue strength and ongoing cost/price competition pressures that moderated profitability. QoQ metrics show a notable deceleration in activity, with revenue down 8.3% sequentially and margins compressing in line with the cyclicality of a heavy promotional environment and investments in omnichannel capabilities.

From a cash-flow perspective, Walmart remains cash-flow durable. Operating cash flow was USD 5.41 billion for the quarter, with free cash flow of USD 0.425 billion after approximately USD 4.99 billion of capital expenditure. Management continued to deploy capital toward buybacks (net common stock repurchased of USD 4.56 billion) and dividends (USD 1.88 billion) while preserving liquidity (cash and cash equivalents of USD 9.31 billion at period end; net debt around USD 57.9 billion). The balance sheet remains sturdy, with total assets of USD 262.4 billion and a long-term debt load that is manageable within Walmart’s operating scale. The company’s performance signals a deliberate balance between market-penetrating investments (e-commerce, supply chain, store footprint) and capital discipline aimed at sustaining cash generation for shareholder returns. Investors should monitor the pace of margin recovery as promotional intensity normalizes, ongoing investments in omnichannel and supply-chain efficiency, and any evolving capital allocation priorities.

Key Performance Indicators

Revenue
Increasing
165.61B
QoQ: -8.28% | YoY: 2.54%
Gross Profit
Increasing
41.31B
24.94% margin
QoQ: -6.93% | YoY: 3.07%
Operating Income
Increasing
7.14B
QoQ: -9.21% | YoY: 4.30%
Net Income
Decreasing
4.49B
QoQ: -14.60% | YoY: -12.09%
EPS
Decreasing
0.56
QoQ: -13.85% | YoY: -11.11%

Revenue Trend

Margin Analysis

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