Kellanova
0R1R.L
$83.19 0.18%
Exchange: LSE | Sector: Consumer Defensive | Industry: Food Confectioners
Q3 2025
Published: Oct 30, 2025

Earnings Highlights

  • Revenue of $3.26B up 4.4% year-over-year
  • EPS of $0.88 decreased by 15.9% from previous year
  • Net income of 309.00M
  • "N/A" - N/A

Kellanova (0R1R.L) QQ3 2025 Results β€” Revenue Growth Across Coresnacks Portfolio with Margin Pressures in a High-Input Environment

Executive Summary

Overview: Kellanova delivered a solid Q3 2025 top-line with revenue of $3.26 billion, up 4.35% year-over-year and 1.78% sequentially to Q2 2025. The company posted operating income of $452 million, implying an operating margin of approximately 13.9%, and EBITDA of $452 million. Net income was $309 million with diluted EPS of $0.88-$0.89 for the quarter. Despite revenue growth, year-over-year net income declined roughly 15% as a result of higher total other expenses and an elevated tax burden, with net income margin around 9.5%. Management commentary (not provided in prompt) would typically address pricing, mix, and cost-control actions impacting margin trajectory. Second, the quarterly dynamics show a favorable revenue trajectory versus last year, but earnings progress remains heavily influenced by cost structure, interest expense, and currency effects. EBITDA margin remains a meaningful proxy for underlying cash-generating capability, and the company still exhibits solid EBITDA of $452 million for Q3 2025, supporting a healthy though challenged profit profile in a high-cost environment. Outlook: In the absence of explicit forward-looking guidance in the data provided, investors should monitor input-cost trends (commodities), pass-through pricing, channel mix (retail vs. away-from-home), and ongoing cost-reduction initiatives. The balance between top-line growth and margin expansion will likely hinge on pricing discipline, portfolio optimization, and operational efficiencies. Overall, Kellanova remains a defensive, cash-generative entity within the consumer staples space, with near-term upside tied to margin recovery aided by pricing and cost programs.

Key Performance Indicators

Revenue

3.26B
QoQ: 1.78% | YoY:4.35%

Operating Income

452.00M
QoQ: -2.80% | YoY:-14.88%

Net Income

309.00M
QoQ: 3.34% | YoY:-15.34%

EPS

0.89
QoQ: 3.49% | YoY:-15.88%

Revenue Trend

Margin Analysis

Key Insights

  • Revenue (Q3 2025): $3.26B; YoY growth: 4.35%; QoQ growth: 1.78%
  • EBITDA: $452M; EBITDA margin: 13.9%
  • Operating income: $452M; operating margin: 13.9%
  • Net income: $309M; net income margin: 9.48%
  • EPS (basic): $0.89; EPS (diluted): $0.88

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 3,260.00 0.88 +4.4% View
Q2 2025 3,203.00 0.85 -0.9% View
Q1 2025 3,083.00 0.87 -3.4% View
Q4 2024 3,124.00 1.04 -2.4% View