General Dynamics
0IUC.L
$344.68 0.10%
Exchange: LSE | Sector: Industrials | Industry: Industrial Capital Goods
Q3 2025
Published: Oct 24, 2025

Earnings Highlights

  • Revenue of $12.91B up 10.6% year-over-year
  • EPS of $3.89 increased by 16.2% from previous year
  • Gross margin of 10.3%
  • Net income of 1.06B
  • "N/A" - N/A

General Dynamics Corporation (0IUC.L) QQ3 2025 Results: Resilient Defense-led Growth Amid Margin Pressure in a High-Conviction Industrials Portfolio

Executive Summary

General Dynamics reported Q3 2025 revenue of $12.907 billion, up 10.6% year-over-year and down 1.0% quarter-over-quarter, with a net income of $1.059 billion and pro forma diluted earnings per share (EPS) of $3.89 (reported $3.94). The solid top-line growth reflects ongoing demand across the companyโ€™s diversified defense platforms, while profitability shows a mixed signal: gross profit was $1.331 billion for the quarter with a gross margin of 10.3%, and operating income stood at $1.331 billion with a margin of 10.3%, producing a net margin of 8.2%. The quarterโ€™s results benefited from efficient operating leverage, yet gross profit declined materially on a year-over-year basis, indicating continued mix and input-cost pressures as GD navigates a multi-segment portfolio (Aerospace, Marine Systems, Combat Systems, Technologies). Cash generation remained robust, underpinning a conservative balance sheet and disciplined capital allocation. The companyโ€™s liquidity and leverage metrics remain supportive: current ratio 1.40, quick ratio 0.87, cash-to-debt indicators strong at a debt ratio of 0.139 and debt-to-capitalization of 0.247, with interest coverage near 18x. Operating cash flow per share came in at $7.85, free cash flow per share at $7.06, and cash per share at $9.38, while the dividend payout ratio stood at 38.1%. The balance sheet appears resilient to near-term macro uncertainties, with a solid balance of cash, modest leverage, and ongoing capability to fund dividends and strategic acquisitions or R&D investments. Management commentary for QQ3 2025 is not included in the provided dataset; as such, this analysis relies on reported results and standard sector dynamics. The forward guidance from GD for the coming quarters is not specified in the data provided herein, necessitating a cautious view on multi-quarter trajectory. Investors should monitor defense-budget developments, program awards in Navy and federal IT, and potential margin normalization as the mix shifts among Aerospace, Marine, Combat Systems, and Technologies.

Key Performance Indicators

Revenue

12.91B
QoQ: -1.03% | YoY:10.59%

Gross Profit

1.33B
10.31% margin
QoQ: -31.71% | YoY:-26.71%

Operating Income

1.33B
QoQ: 1.99% | YoY:12.70%

Net Income

1.06B
QoQ: 4.44% | YoY:13.87%

EPS

3.94
QoQ: 4.23% | YoY:16.22%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $12.907B (YoY +10.6%, QoQ -1.0%) | Gross Profit: $1.331B, Gross Margin: 10.31% (YoY -26.7%, QoQ -31.7%) | Operating Income: $1.331B, Operating Margin: 10.31% (YoY +12.7%, QoQ +1.99%) | Net Income: $1.060B, Net Margin: 8.20% (YoY +13.9%, QoQ +4.4%) | EPS (Diluted): $3.89 | ROE: 4.33% | ROA: 1.84% | Free Cash Flow per Share: $7.06 | Cash Flow per Share: $7.85 | Cash per Share: $9.38 | Payout Ratio: 38.1% | Current Ratio: 1.40 | Quick Ratio: 0.87 | Debt/Equity: 0.328 | Debt Ratio: 0.139 | ...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 12,907.00 3.89 +10.6% View
Q2 2025 13,041.00 3.74 +11.7% View
Q1 2025 12,223.00 3.66 +2.1% View
Q4 2024 13,338.00 4.15 +24.3% View
Q3 2024 11,671.00 3.35 +0.0% View