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Helen of Troy Ltd
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HELEHelen of Troy Ltd Q1 2025 · 10-Q
Revenue$416.85M$416.85M−12.2% vs Q1 2024 Net Income$6.20M$6.20M−72.5% vs Q1 2024 EPS Diluted$0.26$0.26−72.3% vs Q1 2024 Gross Profit$203,079,000−5.8% Operating Income
The same fiscal quarter, prior years. Thaler holds no estimates to compare against.
Helen of Troy Ltd · CIK 916789 · Engraved from SEC EDGAR
Operating Cash Flow$25,320,000−79.1% Free Cash Flowderived$16,178,000−85.2% Margins · derivedGross margin48.7%+3.3 pt vs Q1 2024
Operating margin7.4%−1.2 pt vs Q1 2024
Net margin1.5%−3.3 pt vs Q1 2024
ended May 31, 2024 · filed Jul 9, 2024 · 39 d after period end