BrownForman Corporation
0HQ3.L
$27.97 1.10%
Exchange: LSE | Sector: Consumer Defensive | Industry: Beverages Alcoholic
Q2 2025
Published: Dec 5, 2024

Earnings Highlights

  • Revenue of $1.10B down 1.1% year-over-year
  • EPS of $0.55 increased by 7.8% from previous year
  • Gross margin of 59.0%
  • Net income of 258.00M
  • "N/A" - N/A

BrownForman Corporation (0HQ3.L) QQ2 2025 Results — Consistent Gross Margin, Modest Revenue Dip, and Healthy FCF Generation in a Premium Beverages Portfolio

Executive Summary

BrownForman reported Q2 2025 results with a revenue of $1.095 billion, down 1.1% year over year but up 15.1% quarter over quarter. The quarter delivered a robust gross margin of approximately 59.0% and an operating margin of about 31.1%, underpinning earnings resilience despite a modest top-line decline. Net income reached $258 million, translating to earnings per share of $0.55. The company generated free cash flow of roughly $81 million for the quarter, supporting a conservative-but-defensive balance sheet and a disciplined dividend policy. The balance sheet remains solid, with total assets around $8.33 billion and total debt of $3.20 billion, yielding a net debt position of roughly $2.79 billion and a debt-to-equity ratio near 0.87. Cash and cash equivalents stood at about $416 million, and operating cash flow was $112 million for the quarter. Management’s strategy continues to leverage a premium, well-diversified brand portfolio (notably Jack Daniel’s and related lines) to sustain pricing power and margin resilience in a competitive alcoholic beverages landscape. The company also reflects a prudent capital allocation stance, with a dividend payout ratio near 39.9% of net income and a free cash flow yield that supports ongoing shareholder distributions. Looking ahead, No explicit full-year guidance is provided in the immediate data, but the quarterly performance signals steady margin structure and cash-generation ability. Investors should monitor currency translation effects, input-cost dynamics, and working-capital efficiency, as well as emerging-market growth opportunities and potential premiumization trends that could bolster pricing power and returns over time.

Key Performance Indicators

Revenue

1.10B
QoQ: 15.14% | YoY:-1.08%

Gross Profit

646.00M
59.00% margin
QoQ: 14.34% | YoY:-3.73%

Operating Income

341.00M
QoQ: 21.35% | YoY:0.59%

Net Income

258.00M
QoQ: 32.31% | YoY:6.61%

EPS

0.55
QoQ: 34.15% | YoY:7.84%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $1,095,000,000 (YoY -1.08%, QoQ +15.14%) Gross Profit: $646,000,000 (YoY -3.73%, QoQ +14.34%) Gross Margin: 58.99% (stable) Operating Income: $341,000,000 (YoY +0.59%, QoQ +21.35%) Operating Margin: 31.14% Net Income: $258,000,000 (YoY +6.61%, QoQ +32.31%) Net Margin: 23.56% EPS: $0.55 (YoY +7.84%, QoQ +34.15%) EBITDA: $367,000,000 (EBITDA Margin ~33.52%) Cash Flow from Operations: $112,000,000 Free Cash Flow: $81,000,000 Dividends Paid: $103,000,000 Net Debt: ~$2,787,000,000 Total Debt...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 924.00 0.36 -2.8% View
Q4 2025 894.00 0.31 -7.3% View
Q3 2025 1,035.00 0.57 -3.2% View
Q2 2025 1,095.00 0.55 -1.1% View
Q1 2025 951.00 0.41 -8.4% View