Reported Q: Q2 2026 Rev YoY: N/A EPS YoY: +661.8% Move: +0.30%
AXIL Brands Inc
AXIL
$6.74 0.30%
Exchange AMEX Sector Consumer Defensive Industry Household Personal Products
Q2 2026
Published: Jan 8, 2026

Company Status Snapshot

Fast view of the latest quarter outcome for AXIL

Reported

Report Date

Jan 8, 2026

Quarter Q2 2026

Revenue

N/A

YoY: N/A

EPS

0.09

YoY: +661.8%

Market Move

+0.30%

Previous quarter: Q1 2026

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Earnings Highlights

  • EPS of $0.09 increased by 661.8% from previous year
  • Net income of 704.88K
  • "N/A" - N/A
AXIL
Company AXIL

Executive Summary

AXIL Brands Inc (AXIL) reported QQ2 2026 results with a notable improvement in profitability despite an undisclosed top-line figure. Key metrics show gross profit of $5.54 million and EBITDA of $0.90 million, yielding operating income of $0.90 million and net income of $0.705 million. Earnings per share stood at $0.10 basic and $0.09 diluted. Revenue for the quarter was not disclosed in the filing, limiting top-line visibility and margin analysis. The results reflect strong efficiency gains or favorable product mix given the sizable year-over-year and quarter-over-quarter earnings accretion (gross profit up 33.3% YoY and 19.5% QoQ; net income up 741.9% YoY and 110.9% QoQ; EPS up 661.8% YoY and 98.4% QoQ).

On the balance sheet, AXIL exhibits a robust liquidity position and a modest debt load. Cash and cash equivalents were $4.98 million, total current assets $12.61 million, and total assets $16.24 million. Total liabilities are comparatively small at $0.581 million, with equity of $11.08 million. The company reports a net debt position of negative $4.47 million, reflecting a material net cash position and a low leverage profile (debt to equity approximately 4.6%). This capital structure affords the company optionality to fund growth initiatives, amortize costs, or pursue strategic opportunities as topline visibility improves.

The absence of a detailed revenue figure and a management call transcript in the provided data limits a full assessment of revenue momentum, gross margin trajectory, and the sustainability of quarterly profitability. Investors should seek management commentary on top-line drivers (distribution gains, e-commerce contribution, geographic expansion) and adjustments that may have influenced quarterly results. Overall, the QQ2 2026 print signals an earnings-positive position with a strong balance sheet, but topline clarity is essential for a confident, forward-looking valuation.

Key Performance Indicators

Operating Income
Increasing
903.07K
QoQ: 119.33% | YoY: 741.83%
Net Income
Increasing
704.88K
QoQ: 110.86% | YoY: 741.94%
EPS
Increasing
0.10
QoQ: 98.41% | YoY: 661.80%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2026 0.00 0.09 +0.0% View
Q1 2026 6.86 0.04 +5.5% View
Q3 2024 6.92 0.07 +7.0% View
Q2 2024 7.73 0.08 -8.2% View
Q1 2024 5.85 -0.02 -4.2% View