Reported Q: Q3 2025 Rev YoY: +5.5% EPS YoY: +916.0% Move: -2.04%
Walmart Inc
WMT.DE
€106.68 -2.04%
Exchange XETRA Sector Consumer Defensive Industry Discount Stores
Q3 2025
Published: Dec 6, 2024

Company Status Snapshot

Fast view of the latest quarter outcome for WMT.DE

Reported

Report Date

Dec 6, 2024

Quarter Q3 2025

Revenue

169.59B

YoY: +5.5%

EPS

0.57

YoY: +916.0%

Market Move

-2.04%

Previous quarter: Q2 2025

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Earnings Highlights

  • Revenue of $169.59B up 5.5% year-over-year
  • EPS of $0.57 increased by 916% from previous year
  • Gross margin of 24.9%
  • Net income of 4.58B
  • "N/A" - N/A
WMT.DE
Company WMT.DE

Executive Summary

Walmart’s QQ3 2025 performance demonstrates solid top-line momentum and disciplined cost management within a highly competitive discount retail environment. Revenue reached USD 169.6 billion, up 5.46% year over year, supported by a broad store network and ongoing efficiency initiatives. Gross profit stood at USD 42.25 billion with a gross margin of 24.91%, while operating income was USD 6.71 billion for an operating margin of 3.96%. Net income was USD 4.58 billion and diluted EPS USD 0.57, reflecting a dramatic YoY uplift (+910% in net income and +916% in EPS) that appears to be driven by one-time factors or non-operating items in addition to core earnings strength. Free cash flow was USD 0.37 billion for the quarter, while net cash provided by operating activities was USD 6.56 billion, underscoring robust cash generation even as capital expenditure ran at USD 6.19 billion during the period. The balance sheet shows significant scale with total assets of USD 263.4 billion and a net debt position of roughly USD 51.7 billion; liquidity metrics show a current ratio of 0.85, indicating near-term liquidity is solid but watches should be kept on working capital dynamics. The company continues to deploy capital to dividends and buybacks (dividends paid USD 1.67B; net share repurchases USD 0.98B), while maintaining investment in growth initiatives across U.S., International, and Sam’s Club. Valuation metrics imply a premium to peers (P/E around 36x; price to sales ~3.9x), consistent with Walmart’s scale and cash-generating profile. The absence of formal forward guidance in the provided materials limits precision on near-term targets, but the risk/reward remains favorable given resilient demand, cost controls, and a track record of capital returns.

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

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