Alarmcom Holdings Inc
0HC2.L
$53.18 2.45%
Exchange: LSE | Sector: Technology | Industry: Software Services
Q3 2024
Published: Nov 7, 2024

Earnings Highlights

  • Revenue of $240.50M up 8.4% year-over-year
  • EPS of $0.67 increased by 107.7% from previous year
  • Gross margin of 64.8%
  • Net income of 36.68M
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AlarmCom Holdings Inc (0HC2.L) QQ3 2024 Earnings Analysis – Resilient growth in cloud-based security and smart property solutions

Executive Summary

Alarm.com Holdings Inc reported a solid QQ3 2024, underscored by revenue of $240.5 million and a meaningful improvement in profitability and cash generation. The quarter featured a gross margin of approximately 61.7%, EBITDA of $58.8 million and operating income of $33.2 million, translating into an operating margin of about 13.8% and a net income of $36.7 million (EPS of $0.81 basic, $0.67 diluted). Year-over-year, revenue rose 8.4% and net income rose 87.9%, while quarterly sequential improvements were evident in all major profitability metrics (QoQ revenue up 2.9%, gross profit up 7.1%, operating income up 28.8%, and net income up 9.5%). Free cash flow generated was $74.0 million, contributing to a cash balance of roughly $1.178 billion and a net debt position of -$115 million, reflecting a highly liquid balance sheet with strong cash conversion. The business mix remains anchored by high-margin cloud-based security and connected solutions, with expanding contribution from analytic services, energy management, and multi-site commercial offerings. Management commentary emphasized continued investment in product development and market expansion, supported by a resilient demand environment for residential and commercial security, which bodes well for revenue durability and cash flow visibility. Looking forward, management provided qualitative guidance focused on pipeline growth and strategic initiatives rather than explicit numeric targets. Given the strong cash generation, favorable margins, and a fortified balance sheet, the near-to-medium-term outlook appears constructive, albeit with ongoing macro and competitive risks to monitor.

Key Performance Indicators

Revenue

240.50M
QoQ: 2.86% | YoY:8.40%

Gross Profit

155.75M
64.76% margin
QoQ: 7.08% | YoY:10.89%

Operating Income

33.19M
QoQ: 28.79% | YoY:105.27%

Net Income

36.68M
QoQ: 9.46% | YoY:87.88%

EPS

0.81
QoQ: 20.90% | YoY:107.69%

Revenue Trend

Margin Analysis

Key Insights

  • Revenue: $240.50 million; YoY +8.4%, QoQ +2.86%
  • Gross Profit: $155.75 million; Gross margin ~61.7%; YoY +10.89%, QoQ +7.08%
  • EBITDA: $58.81 million; EBITDA margin ~24.45%
  • Operating Income: $33.19 million; operating margin ~13.80%; YoY +105.27%, QoQ +28.79%
  • Net Income: $36.68 million; net margin ~15.25%; YoY +87.88%, QoQ +9.46%

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2025 254.31 0.63 +5.7% View
Q1 2025 238.82 0.52 +2.1% View
Q4 2024 242.24 0.56 +7.0% View
Q3 2024 240.50 0.67 +8.4% View