NYSE$MAGN

Magnera Corp · Q4 2024 earnings

Q4 2024 earnings · · Before market open · Investor relations

Briefing

Magnera reported fiscal Q2 2025 net sales of $824M with a net loss of $41M and diluted EPS of $(1.15).

Net sales surged 48% year over year to $824 million, including contribution from the Glatfelter merger, while organic volumes faced tariff and macro headwinds. The company posted a net loss of $41 million, or $1.15 per share, as integration, amortization, and interest expense weighed on GAAP results.

  • Q2 net sales $824M (+48% reported).
  • Net loss $41M; diluted EPS $(1.15).
  • Glatfelter merger adds scale; integration and synergies in focus.
  • FY2025 comparable adjusted EBITDA guide $360–$380M.

Headline financials

Total Revenue

$824M

Previous: $320M+157.2%
EPS (adj)

-$1.15

Previous: -$0.19-505.3%
Capital Expenditures

-$16M

Previous: -$8.54M-87.3%
Net Income

-$41M

Previous: -$8.67M-373.1%
Operating Income

$10M

Previous: $4.43M+125.7%
Gross Profit

$57M

Previous: $30.7M+85.9%

Revenue & EPS history

Glatfelter · Revenue · Quarterly

$824M

Q4 2024+157.2%vs Q4 2023
Beat estimate in 2 of 8 quarters(25%)
ActualEstimate

Forward guidance

Magnera guided fiscal 2025 comparable adjusted EBITDA to $360–$380 million and post-merger adjusted free cash flow of $75–$95 million.

Tailwinds

  • FY2025 comparable adjusted EBITDA $360–$380M.
  • Post-merger adjusted free cash flow $75–$95M.
  • Synergy realization from Glatfelter integration.

Headwinds

  • Tariff-driven demand uncertainty in consumer end markets.
  • Higher European energy costs on legacy Glatfelter assets.
  • Leverage reduction priority limits near-term flexibility.

Historical earnings impact

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

Avg. return before/after earnings

Based on 20 quarterly earnings reports · overlaid with Q4 2024

Historical avgQ4 2024

-1.9%

Avg return

Earnings day

-1.1%

Avg return

5 days after

-2.0%

Avg return

30 days after

45%

30 / 66 earnings

Positive

+26.8%

Q4 2025

Best reaction

-29.9%

Q2 2023

Worst reaction

Earnings price reactions
QuarterReport dateReaction (Day 0)+5 days+30 days
Q2 2026+1.6%-1.5%+1.4%
Q1 2026+5.4%+2.8%-16.5%
Q4 2025+26.8%+69.6%+87.6%
Q4 2024-18.1%-2.8%-12.7%
Q2 2025-18.1%-2.8%-12.7%
Q1 2025+2.4%+10.1%+2.7%
Q3 2024+0.6%-10.0%-12.5%
Q2 2024+18.9%+20.3%+9.8%
Q1 2024-3.5%-10.5%-28.5%
Q4 2023-2.4%+7.3%-14.6%
Q3 2023+2.5%-6.7%-3.1%
Q2 2023-29.9%-38.2%-40.9%
Q1 2023+10.5%+5.3%+48.7%
Q4 2022-13.6%-13.6%-31.7%
Q3 2022+9.5%+25.4%+25.4%
Q2 2022-9.6%-20.7%-24.3%
Q1 2022-1.6%-8.0%-14.2%
Q4 2021+2.8%-2.2%+0.4%
Q3 2021+3.2%+5.5%+0.8%
Q2 2021+1.7%+3.7%+4.5%
Q1 2021-1.5%-0.7%-16.0%
Q4 2020-1.8%-1.4%+7.0%
Q3 2020+2.4%+4.9%+22.2%
Q2 2020-2.3%-0.5%-8.2%
Q1 2020-8.0%-5.8%+18.4%
Q4 2019-3.7%-4.9%-22.9%
Q3 2019+3.7%+5.4%+2.9%
Q2 2019-4.1%-10.8%-15.2%
Q1 2019+5.2%+3.9%+11.8%
Q4 2018-1.7%-3.1%-1.7%
Q3 2018-18.2%-22.1%-35.7%
Q2 2018-12.7%-16.4%-6.0%
Q1 2018-1.7%+3.2%+1.8%
Q4 2017-0.4%-0.7%-2.7%
Q3 2017+8.7%+8.7%+8.8%
Q2 2017-16.4%-12.8%-15.4%
Q1 2017-2.3%-3.2%+0.4%
Q4 2016-1.0%-3.0%-6.7%
Q3 2016-17.8%-17.9%+3.0%
Q2 2016+1.5%+2.2%+6.4%
Q1 2016+1.4%
Q4 2015+6.4%
Q3 2015-14.1%
Q2 2015-6.7%
Q1 2015-1.0%
Q4 2014-1.0%
Q3 2014+4.4%
Q2 2014+1.0%
Q1 2014+0.8%
Q4 2013+1.3%
Q3 2013+0.6%
Q2 2013+0.1%
Q1 2013-0.9%
Q4 2012+2.1%
Q3 2012-3.8%
Q2 2012-1.8%
Q1 2009-6.0%
Q1 2012+0.9%
Q4 2009+1.1%
Q4 2011+1.1%
Q3 2010-2.8%
Q3 2009-2.8%
Q2 2009-8.3%
Q2 2010-8.3%
Q4 2010-8.3%
Q1 2010+3.5%

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