NASDAQ$HYFM

Hydrofarm Holdings Group Inc. · Q2 2025 earnings

Q2 2025 earnings · · Before market open · Investor relations

Briefing

Hydrofarm reported Q2 2025, revenue of $39.24B, net loss of $16.86B.

For Q2 2025, Hydrofarm reported revenue of $39.24B, a net loss of $16.86B. The filing discusses segment trends, liquidity, and management outlook for upcoming periods.

  • Revenue $39.24B.
  • Net loss $16.86B.
  • Hydrofarm highlights operating priorities and capital allocation.

Headline financials

Total Revenue

$39.2M

Previous: $54.8M-28.4%
EPS (adj)

-$3.63

Previous: -$0.51-611.8%
Adjusted gross profit margin

19.2%

Previous: 24.4%-21.3%
Adjusted EBITDA

-$2.27M

Previous: $1.73M-231.7%
SG&A expenses

$16.1M

Previous: $18.7M-13.5%
Adjusted SG&A

$9.8M

Previous: $11.6M-15.7%
SG&A as % of sales

41.1%

Previous: 34.1%+20.5%
Adjusted SG&A as % of sales

25.0%

Previous: 21.2%+17.9%
Net loss as % of sales

43.0%

Previous: 42.8%+0.5%
Adjusted EBITDA margin

-5.8%

Previous: 3.1%-287.1%
Gross Margin

7.1%

Previous: 19.8%-64.1%
Capital Expenditures

-$525K

Previous: -$1.81M+71.0%
Net Income

-$16.9M

Previous: -$23.5M+28.1%
Operating Income

-$13.3M

Previous: -$19.3M+30.9%
Gross Profit

$2.79M

Previous: $10.9M-74.3%

Revenue & EPS history

Hydrofarm · Revenue · Quarterly

$39.2M

Q2 2025-28.4%vs Q2 2024
Beat estimate in 7 of 13 quarters(54%)
ActualEstimate

Forward guidance

The release discusses Hydrofarm's outlook, capital allocation, and key risks for upcoming quarters, including guidance ranges or operating priorities where disclosed.

Tailwinds

  • Hydrofarm cites demand and execution supporting the near-term outlook.
  • Liquidity and balance-sheet capacity support operations and shareholder returns.

Headwinds

  • GAAP profitability remained under pressure in Q2 2025.
  • Macro, input costs, and FX may pressure margins quarter to quarter.
  • Segment mix and one-time items can affect comparability versus prior periods.

Historical earnings impact

How earnings announcements have historically affected this stock's price.

Avg. return before/after earnings

Based on 18 quarterly earnings reports · overlaid with Q2 2025

Historical avgQ2 2025

-2.6%

Avg return

Earnings day

-4.3%

Avg return

5 days after

-7.5%

Avg return

30 days after

38%

10 / 26 earnings

Positive

+16.2%

Q4 2020

Best reaction

-22.7%

Q2 2023

Worst reaction

Earnings price reactions
QuarterReport dateReaction (Day 0)+5 days+30 days
Q4 2025-0.9%-1.8%
Q1 2026-6.5%-10.3%-13.8%
Q3 2025-14.6%-21.9%-3.0%
Q2 2025-2.9%+0.0%-28.4%
Q1 2025+8.0%-1.9%-0.9%
Q4 2024-20.9%-26.8%-61.2%
Q3 2024-4.9%-2.7%+13.8%
Q2 2024+1.9%+0.0%+14.4%
Q1 2024-3.7%-10.2%-14.2%
Q4 2023+7.0%-2.1%+25.6%
Q3 2023+4.4%+0.0%+25.9%
Q2 2023-22.7%-22.4%-4.0%
Q1 2023-8.7%-15.0%-22.6%
Q4 2022+15.9%+18.5%-6.0%
Q3 2022+8.2%+19.7%-1.7%
Q2 2022+14.2%+30.5%+2.7%
Q1 2022-20.8%+1.9%-34.3%
Q4 2021-14.9%-28.5%-25.2%
Q4 2019-14.9%-28.5%-25.2%
Q3 2020-1.4%-10.7%-40.4%
Q3 2021+12.3%+10.8%-28.2%
Q2 2020-11.7%-8.2%+12.1%
Q2 2021-5.6%-16.6%+5.7%
Q1 2020+4.1%+3.3%+0.3%
Q1 2021-3.6%-0.3%-4.7%
Q4 2020+16.2%+10.8%+26.3%
Q3 2019
Q2 2019
Q1 2019

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