NYSE$SPB

Spectrum Brands Holdings Inc. · Q3 2025 earnings

Q3 2025 earnings · · Before market open · Investor relations

Briefing

Spectrum Brands Holdings Inc. reported net sales of $699.6 million and net income of $19.7 million for the third quarter of fiscal 2025.

Spectrum Brands Holdings Inc. achieved net sales of $699.6 million in Q3 2025, down from $779.4 million in the prior year quarter, with gross profit of $264.1 million. The company reported operating income of $31.3 million and net income from continuing operations of $20.5 million. Adjusted EBITDA for the quarter totaled $76.6 million across its GPC, H&G, and HPC segments.

  • Net sales declined 10.2% year-over-year to $699.6 million due to lower volumes across all segments.
  • Gross profit margin decreased to 37.8% from 38.9% amid unfavorable mix and higher costs.
  • Operating income fell to $31.3 million, impacted by impairment charges and restructuring costs.
  • The company maintained strong liquidity with $122.0 million in cash and $388.5 million available under its credit facility.

Headline financials

Total Revenue

$700M

Previous: $779M-10.2%
EPS (adj)

$0.80

Previous: $0.21+281.0%
Adjusted EBITDA

$76.6M

Previous: $106M-27.9%
Capital Expenditures

-$25.1M

Previous: -$31M+19.0%
Net Income

$19.9M

Previous: $6.1M+226.2%
Operating Income

$31.3M

Previous: $47.7M-34.4%
Gross Profit

$264M

Previous: $303M-12.8%
Cash & Equivalents

$122M

Previous: $158M-22.6%

Revenue & EPS history

Spectrum Brands · Revenue · Quarterly

$700M

Q3 2025-10.2%vs Q3 2024
Beat estimate in 7 of 16 quarters(44%)
ActualEstimate

Revenue by segment

Spectrum Brands · $700M total across 3 segments · Q3 2025

  • Global Pet Care
    $255M
  • Home & Personal Care
    $255M
  • Home & Garden
    $189M

Forward guidance

The company continues to monitor impacts from U.S. tariffs and global economic conditions while focusing on supply chain diversification and operational efficiencies.

Historical earnings impact

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

Avg. return before/after earnings

Based on 19 quarterly earnings reports

Historical avg

+0.8%

Avg return

Earnings day

+1.1%

Avg return

5 days after

+2.1%

Avg return

30 days after

63%

40 / 64 earnings

Positive

+18.1%

Q4 2019

Best reaction

-26.0%

Q2 2018

Worst reaction

Earnings price reactions
QuarterReport dateReaction (Day 0)+5 days+30 days
Q3 2025
Q2 2026-7.8%-5.3%-4.2%
Q1 2026+10.2%+8.9%+11.8%
Q4 2025+10.0%+2.0%+15.2%
Q2 2025+3.8%+8.4%-9.7%
Q1 2025-7.7%-7.7%-9.2%
Q4 2024-3.9%-5.3%-3.6%
Q3 2024+7.4%+9.1%+12.6%
Q2 2024+12.2%+11.8%+6.9%
Q1 2024+7.4%+6.2%+4.4%
Q4 2023-14.0%-14.6%+3.3%
Q3 2023+4.7%+2.7%+8.8%
Q2 2023+2.7%+0.7%+3.4%
Q1 2023+1.2%+2.7%-7.9%
Q4 2022-2.7%+0.3%+16.7%
Q3 2022+1.2%-3.0%-12.9%
Q2 2022+7.2%+4.0%+4.6%
Q1 2022-0.8%+3.3%-0.4%
Q4 2021+11.4%+12.4%+3.8%
Q3 2021-1.9%-1.9%-5.3%
Q2 2021+3.7%-1.6%-5.8%
Q1 2021+3.2%+1.7%+0.3%
Q4 2020+2.3%+2.7%+9.9%
Q3 2020+8.6%+6.7%+13.0%
Q2 2020-2.4%-0.7%+10.3%
Q1 2020-0.6%-4.3%-12.7%
Q4 2019+18.1%+21.3%+20.3%
Q3 2019+9.0%+6.4%+19.6%
Q2 2019+4.8%-0.0%-7.4%
Q1 2019-18.4%-14.4%-3.3%
Q4 2018-17.0%-13.4%-26.8%
Q3 2018+13.7%+13.7%+18.4%
Q2 2018-26.0%-21.9%-15.1%
Q1 2018-3.9%-7.4%-9.8%
Q4 2017+12.8%+16.7%+15.8%
Q3 2017-3.5%-3.6%-9.3%
Q2 2017-9.8%-8.9%-2.7%
Q1 2017+6.7%+4.5%+14.0%
Q4 2016-1.0%+3.8%+1.3%
Q3 2016+7.0%+7.3%+15.4%
Q2 2016+2.0%
Q1 2016+0.9%
Q4 2015+3.6%
Q3 2015-2.9%
Q2 2015+1.0%
Q1 2015+3.8%
Q4 2014-3.1%
Q3 2014+0.2%
Q2 2014-0.6%
Q1 2014+5.1%
Q4 2013+4.0%
Q3 2013+3.7%
Q2 2013-1.6%
Q1 2013+0.1%
Q4 2011-3.4%
Q4 2012-10.8%
Q3 2012+0.0%
Q2 2012+1.0%
Q1 2011+0.6%
Q1 2012+2.0%
Q2 2011+0.7%
Q3 2011+0.3%
Q4 2010+0.3%
Q3 2010+1.6%
Q2 2010-4.2%

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