Guidewire Software Inc
0J1G.L
$221.27 0.16%
Exchange: LSE | Sector: Technology | Industry: Software Services
Q2 2025
Published: Mar 7, 2025

Earnings Highlights

  • Revenue of $289.48M up 20.2% year-over-year
  • EPS of $-0.45 decreased by 475% from previous year
  • Gross margin of 61.9%
  • Net income of -37.28M
  • "N/A" - N/A

Guidewire Software Inc (0J1G.L) QQ2 2025 Results — Revenue Growth Amid Turnaround in Operating Momentum, Net Loss Persists

Executive Summary

- Quarter under review: Guidewire Software Inc reported Q2 2025 results with revenue of $289.48 million, up 20.17% year-over-year and 10.11% quarter-over-quarter, signaling ongoing demand for Guidewire’s software and cloud offerings despite the macro and competitive environment. Gross profit rose to $179.15 million, representing a gross margin of 61.9%, aided by favorable mix and pricing discipline. - Operating momentum improved at the operating income level, posting $11.72 million in operating income and a 4.05% operating margin, marking a meaningful YoY improvement from a prior-year operating loss. This indicates improving operating leverage as the company potentially scales cloud-based and managed services overloads. - Net income remained negative at -$37.28 million with an EPS of -$0.45, reflecting material non-operating charges (total other income/expenses net recorded at -$54.75 million) and interest/depreciation impacts. The result underscores that profitability remains pressured by non-operating items and financing costs even as core operations show progress. Free cash flow was solid at $85.20 million, and cash at period end stood at $698.68 million, supporting balance sheet resilience. Cash flow from operating activities was $85.99 million, with minimal capital expenditure ($0.79 million), indicating high cash-generation quality from core activities. - Valuation and risk context: Revenue growth and positive operating income support an optimistic view on the business trajectory, but negative net income and high valuation metrics (P/S ~61.9x, P/CFO ~208x) imply a high bar for sustainable profitability and multiple expansion. The balance sheet remains liquid with low short-term liquidity risks but a meaningful long-term debt load (~$707 million) that investors should monitor as the company continues its cloud-transition investments.

Key Performance Indicators

Revenue

289.48M
QoQ: 10.11% | YoY:20.17%

Gross Profit

179.15M
61.89% margin
QoQ: 13.11% | YoY:25.80%

Operating Income

11.72M
QoQ: 348.37% | YoY:194.46%

Net Income

-37.28M
QoQ: -507.89% | YoY:-484.81%

EPS

-0.45
QoQ: -509.09% | YoY:-475.00%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $289.48M (+20.17% YoY; +10.11% QoQ) Gross Profit: $179.15M; Gross Margin: 61.89% (YoY +25.80%; QoQ +13.11%) Operating Income: $11.72M; Operating Margin: 4.05% (YoY +194.46%; QoQ +348.37%) Net Income: -$37.28M; Net Margin: -12.88% (YoY -484.81%; QoQ -507.89%) EPS (Diluted): -$0.45 (YoY -475%; QoQ -509%) EBITDA: -$28.42M; EBITDA Margin: -9.82% Cash Flow: Operating Cash Flow $85.99M; Free Cash Flow $85.20M; Capex -$0.79M; Cash at End: $698.68M Balance Sheet: Total Assets $2.54B; Cash &...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q4 2025 356.57 0.60 +22.3% View
Q3 2025 293.51 0.54 +22.0% View
Q2 2025 289.48 -0.45 +20.2% View
Q1 2025 262.90 0.11 +26.8% View
Q4 2024 291.52 0.20 +8.0% View