Western Digital
0QZF.L
$158.89 5.74%
Exchange: LSE | Sector: Technology | Industry: Hardware Equipment Parts
Q1 2026
Published: Oct 31, 2025

Earnings Highlights

  • Revenue of $2.82B down 34.2% year-over-year
  • EPS of $3.07 increased by 98.8% from previous year
  • Gross margin of 43.5%
  • Net income of 1.18B
  • "N/A" - N/A

Western Digital Corporation (0QZF.L) QQ1 2026 Results Analysis: Robust Profitability Amid Revenue Decline and One-Off Benefit

Executive Summary

Western Digital reported QQ1 2026 results with solid profitability and strong cash generation, underscored by an EBITDA of $792 million and net income of $1.182 billion on revenue of $2.818 billion. The quarter benefited from a sizable non-operating income line (total other income/expenses net of $545 million), which boosted pretax earnings and net income, producing an unusually high net margin of roughly 41.9%. Gross margin stood at 43.5%, supported by a favorable product mix and pricing dynamics within hard drives, SSDs, and data-center solutions. Operating margins remained healthy at 28.1%, reflecting disciplined cost management, but the sustainability of the net income level hinges on the durability of the one-off benefit and ongoing operating performance. On the balance sheet and cash flow fronts, WD generated $672 million in cash from operating activities and roughly $599 million in free cash flow, with capital expenditures of about $73 million. The company ended the period with $2.05 billion in cash and equivalents and total debt outstanding of $4.68 billion, resulting in a net debt position of approximately $2.64 billion. While liquidity indicators are reasonable, leverage remains a key consideration given the sizable goodwill/intangible asset base and elevated short-term debt, implying ongoing focus on deleveraging and working capital optimization. Looking ahead, the earnings narrative will likely center on sustaining revenue in a cyclical storage market, managing the balance sheet, and converting operating profitability into recurring cash flow to fund strategic initiatives and potential capital allocation opportunities.

Key Performance Indicators

Revenue

2.82B
QoQ: 8.18% | YoY:-34.24%

Gross Profit

1.23B
43.54% margin
QoQ: 15.00% | YoY:-19.06%

Operating Income

792.00M
QoQ: 16.47% | YoY:-7.04%

Net Income

1.18B
QoQ: 359.92% | YoY:98.99%

EPS

3.34
QoQ: N/A | YoY:98.81%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $2.818B (Q1 2026) with YoY change of -34.24% and QoQ change of +8.18%. Gross Profit: $1.227B; Gross Margin: 43.54% (YoY margin impact not provided in prompt but quarter margin is 43.54%). Operating Income: $0.792B; Operating Margin: 28.10%. Net Income: $1.182B; Net Margin: 41.94%. EPS: $3.34 (GAAP); Diluted EPS: $3.07. EBITDA: $0.792B; EBITDA Margin: 28.11%. Total Other Income/Expenses Net: $0.545B (positive contribution in the quarter). Income Before Tax: $1.337B; Pretax Margin: 47.44%...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 2,818.00 3.07 -34.2% View
Q4 2025 2,605.00 0.00 -36.4% View
Q3 2025 2,294.00 1.49 -33.6% View
Q2 2025 4,285.00 1.63 +24.0% View
Q1 2025 4,095.00 1.35 +35.1% View