NYSE$UWMC

UWM Holdings Corp · Q3 2025 earnings

Q3 2025 earnings · · Before market open · Investor relations

Briefing

UWM Holdings reported Q3 2025 revenue of $843.3M with a net loss of $13.7M.

Revenue was $843.3 million in the third quarter as mortgage origination volumes and gain-on-sale margins responded to rate and housing market conditions. Net loss was $13.7 million; the company discusses market share and expense management.

  • Q3 revenue $843.3M.
  • Net loss $13.7M for the quarter.
  • Origination volume sensitive to mortgage rates.
  • Wholesale channel market share remains strategic priority.

Headline financials

Total Revenue

$843M

Previous: $526M+60.2%
EPS (adj)

$30.00

Previous: -$0.06+50100.0%
Capital Expenditures

-$52.3M

Previous: -$31.2M-67.9%
Free Cash Flow

-$53.6M

Previous: -$37.5M-43.0%
Net Income

-$1.26M

Previous: -$6.3M+80.0%
Operating Income

$293M

Previous: $32.3M+806.4%
Gross Profit

$843M

Previous: $526M+60.2%

Revenue & EPS history

UWM · Revenue · Quarterly

$843M

Q3 2025+60.2%vs Q3 2024
Beat estimate in 5 of 14 quarters(36%)
ActualEstimate

Revenue by segment

UWM · $677M total across 4 segments · Q3 2023

  • Loan Production Income
    $289M+67.6%
  • Loan Servicing Income
    $200M+1.9%
  • Interest Income
    $94.8M+21.3%
  • MSR Fair Value Change
    $92.9M-60.8%

Forward guidance

Outlook focuses on cash runway, pipeline milestones, and cost discipline as the company works toward profitability.

Tailwinds

  • Cash and equivalents support operations into upcoming milestones.
  • Strategic initiatives and partnerships noted in MD&A.

Headwinds

  • Ongoing operating losses and R&D or interest spend pressure earnings.
  • Financing, dilution, or macro factors may affect liquidity.

Historical earnings impact

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

Avg. return before/after earnings

Based on 19 quarterly earnings reports · overlaid with Q3 2025

Historical avgQ3 2025

-1.7%

Avg return

Earnings day

-1.2%

Avg return

5 days after

+0.5%

Avg return

30 days after

29%

6 / 21 earnings

Positive

+28.2%

Q3 2022

Best reaction

-16.8%

Q1 2023

Worst reaction

Earnings price reactions
QuarterReport dateReaction (Day 0)+5 days+30 days
Q1 2026-1.2%-11.2%-28.4%
Q4 2025-9.0%-5.0%-25.0%
Q3 2025-10.1%-3.4%+1.2%
Q1 2025-14.7%-11.3%-13.8%
Q4 2024-5.8%-0.2%-14.6%
Q3 2024-6.0%-9.2%-2.4%
Q2 2024-6.5%-3.8%+2.3%
Q1 2024-0.7%+2.8%+2.8%
Q4 2023-4.9%-4.6%+8.2%
Q3 2023+4.3%+6.9%+15.6%
Q2 2023-1.6%-4.0%-16.3%
Q1 2023-16.8%-11.3%-7.4%
Q4 2022+12.7%+11.7%+15.3%
Q3 2022+28.2%+22.3%+44.7%
Q2 2022-0.5%+1.0%-9.2%
Q1 2022+0.3%+8.9%+18.1%
Q4 2021+7.4%-4.1%+4.4%
Q3 2021-1.5%-2.2%-3.8%
Q2 2021-7.0%-7.6%-8.5%
Q1 2021-2.4%+7.9%+43.1%
Q4 2020+0.6%-7.9%-16.0%
Q4 2019

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