Halliburton Company
0R23.L
$27.00 -1.43%
Exchange: LSE | Sector: Energy | Industry: Oil Gas Equipment Services
Q3 2024
Published: Nov 7, 2024

Earnings Highlights

  • Revenue of $5.70B down 1.8% year-over-year
  • EPS of $0.65 decreased by 18.8% from previous year
  • Gross margin of 18.8%
  • Net income of 571.00M
  • "" -

Halliburton Company (0R23.L) QQ3 2024 Earnings Analysis — Revenue Dip with Margin Resilience in a Slower Seasonal Quarter (USD)

Executive Summary

Halliburton’s QQ3 2024 results show a modest revenue decline against a backdrop of margin resilience and positive cash generation. Reported revenue of $5.697 billion declined 1.8% year over year and 2.3% quarter over quarter, reflecting softer activity levels in a seasonally weaker quarter. Despite the top-line pressure, Halliburton delivered a solid operating margin around 15.3% and an EBITDA margin near 19.6%, underscoring ongoing cost discipline and a favorable mix of services that helped sustain profitability. Net income was $571 million, with earnings per share of $0.65, representing a meaningful YoY and QoQ deterioration that aligns with the revenue trajectory, yet cash flow remained robust with operating cash flow of $841 million and free cash flow of $502 million. The company continued substantial capital allocation through share repurchases ($196 million) and dividends ($150 million), while maintaining a strong balance sheet with total assets of approximately $25.33 billion and total debt of about $8.70 billion. The balance sheet shows a healthy current position (current ratio ~2.21, quick ratio ~1.62) and meaningful liquidity, but leverage remains elevated (long-term debt to capitalization ~0.426; debt to capitalization ~0.458). Overall, the QQ3 print signals a durable earnings framework underpinned by resilient margins and constructive cash generation, even as revenue faces cyclicality tied to the oilfield services cycle and macro demand dynamics.

Key Performance Indicators

Revenue

5.70B
QoQ: -2.33% | YoY:-1.84%

Gross Profit

1.07B
18.78% margin
QoQ: -4.72% | YoY:-4.29%

Operating Income

871.00M
QoQ: -15.60% | YoY:-16.01%

Net Income

571.00M
QoQ: -19.46% | YoY:-20.25%

EPS

0.65
QoQ: -18.75% | YoY:-18.75%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $5.697B (-YoY -1.84%, QoQ -2.33%) Gross Profit: $1.070B (-YoY -4.29%, QoQ -4.72%) Operating Income: $0.871B (-YoY -16.01%, QoQ -15.60%) Net Income: $0.571B (-YoY -20.25%, QoQ -19.46%) EPS: $0.65 (-YoY -18.75%, QoQ -18.75%) EBITDA: $1.117B (margin ~19.6%) Gross Margin: 18.78% Operating Margin: 15.29% Net Margin: 10.02% Cash Flow from Operations: $0.841B Free Cash Flow: $0.502B Dividends Paid: $0.150B Share Repurchases: $0.196B Capital Expenditures: $0.339B Cash at End of Period: $2.178B ...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 5,600.00 0.02 -1.7% View
Q2 2025 5,510.00 0.55 -5.5% View
Q1 2025 5,417.00 0.24 -6.7% View
Q4 2024 5,610.00 0.70 -2.3% View
Q3 2024 5,697.00 0.65 -1.8% View