Skip to contentH
Helen of Troy Ltd
H
HELEHelen of Troy Ltd Q1 2026 · 10-Q
Revenue$371.66M$371.66M−10.8% vs Q1 2025 Net Income-$450.72M-$450.72MN/M vs Q1 2025 EPS Diluted-$19.65-$19.65N/M vs Q1 2025 Gross Profit$175,011,000−13.8% 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$58,338,000+130.4% Free Cash Flowderived$44,976,000+178.0% Margins · derivedGross margin47.1%−1.6 pt vs Q1 2025
Operating margin-109.5%−116.9 pt vs Q1 2025
Net margin-121.3%−122.8 pt vs Q1 2025
ended May 31, 2025 · filed Jul 10, 2025 · 40 d after period end