The Estee Lauder
0JTM.L
$90.59 -0.81%
Exchange: LSE | Sector: Consumer Defensive | Industry: Household Personal Products
Q2 2025
Published: Feb 4, 2025

Earnings Highlights

  • Revenue of $4.00B down 6.4% year-over-year
  • EPS of $-1.64 decreased by 288.5% from previous year
  • Gross margin of 76.1%
  • Net income of -590.00M
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Estee Lauder Companies Inc (0JTM.L) QQ2 2025 Results Analysis – Revenue Decline Amid Margin Pressures with Positive Free Cash Flow and Balance Sheet Resilience

Executive Summary

The Estee Lauder Companies (0JTM.L) reported a challenging QQ2 2025 with a substantial net loss and negative operating profit despite operating cash flow being positive. Revenue stood at $4.004 billion, a YoY decline of 6.4% and QoQ growth of 19.1% driven by seasonal factors and mix shifts, while gross profit was $3.047 billion (gross margin ~76.1%). The quarter showcased a sharp deterioration in profitability, as operating income was -$580 million and net income -$590 million, translating to an EPS of -$1.64. On the balance sheet, liquidity remains robust with cash and short-term investments of ~$2.586 billion and total debt of ~$9.383 billion, yielding a net debt position of ~$6.797 billion. Free cash flow reached ~$925 million, underpinning a healthy cash generation cushion despite earnings weakness. The firm finished the period with tangible cash generation but continued leverage and working-capital challenges (inventory days ~188, receivables days ~36). These dynamics imply near-term earnings volatility even as the company preserves liquidity to fund strategic investments and shareholder returns when profitability recovers. No earnings transcript is available in the provided data, so management commentary quotes could not be incorporated. The forward-looking view therefore emphasizes observable cash flow strength, balance-sheet durability, and the need for margin restoration through cost discipline, mix optimization, and growth in high-margin categories; subject to macro consumer demand improvement and competitive dynamics.

Key Performance Indicators

Revenue

4.00B
QoQ: 19.13% | YoY:-6.43%

Gross Profit

3.05B
76.10% margin
QoQ: 25.24% | YoY:-2.50%

Operating Income

-580.00M
QoQ: -379.34% | YoY:-201.05%

Net Income

-590.00M
QoQ: -278.21% | YoY:-288.50%

EPS

-1.64
QoQ: -281.40% | YoY:-288.51%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $4.004B (YoY -6.4%, QoQ +19.1%) β€’ Gross Profit: $3.047B (YoY -2.5%, QoQ +25.2%) β€’ Gross Margin: ~76.1% β€’ Operating Income: -$0.58B (YoY delta highly negative, QoQ sharply negative) β€’ Net Income: -$0.59B (YoY -288.5%, QoQ -278.2%) β€’ EPS: -$1.64 (YoY -288.5%, QoQ -281.4%) β€’ EBITDA: -$0.353B; EBITDAR Margin: -8.82% β€’ Operating Cash Flow: $1.057B β€’ Free Cash Flow: ~$0.925B β€’ Cash at End of Period: $2.586B β€’ Total Debt: $9.383B; Net Debt: $6.797B β€’ Current Ratio: 1.371;...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 3,481.00 0.13 +3.6% View
Q4 2025 3,407.00 -1.51 -12.0% View
Q3 2025 3,550.00 0.44 -9.9% View
Q2 2025 4,004.00 -1.64 -6.4% View
Q1 2025 3,361.00 -0.43 -4.5% View