Marwynn Holdings Inc
MWYN
$0.983 1.47%
Exchange: NASDAQ | Sector: Consumer Defensive | Industry: Packaged Foods
Q1 2026
Published: Sep 15, 2025

Earnings Highlights

  • Revenue of $2.34B up 69% year-over-year
  • EPS of $-159.48 increased by 0% from previous year
  • Gross margin of 42.4%
  • Net income of -2.72B
  • "N/A" - N/A

Marwynn Holdings Inc Common stock (MWYN) QQ1 2026 Results Analysis – Consumer Defensive, Packaged Foods

Executive Summary

Marwynn Holdings Inc. (MWYN) reported QQ1 2026 results that showcased an exceptional top-line increase alongside a substantial earnings deterioration. Revenue reached USD 2.343,959 million for the quarter, with a gross profit of USD 994.346 million and a gross margin of approximately 42.4%. Despite the seemingly robust gross profitability, the company reported a steep operating loss of USD -2.714 billion, driven by aggressive selling, general, and administrative (SG&A) expenditures and other non-cash items that weigh on the bottom line. The quarter produced a net loss of USD -2.719,753,000 and an EPS of -USD -159.48, signaling a heavy burn that offsets the strong top-line performance. Cash flow from operations was negative USD -95.149 million, contributing to a free cash flow burn of the same magnitude and a closing cash balance of USD 213.971 million. Balance sheet metrics show a sizable asset base (USD 11.5968 billion) counterbalanced by meaningful liabilities (USD 9.3155 billion) and a total debt load of USD 4.0097 billion, yielding a net debt position of USD 3.7957 billion. Management commentary is not present in the provided data, and there is no forward-looking guidance disclosed. The company operates in a high-growth, diversified holding structure with subsidiaries in food/snacks and home improvement, implying meaningful turnaround potential if fixed-cost discipline and margin expansion are achieved. Investors should monitor liquidity runway, SG&A containment, revenue mix shifts, and working capital dynamics as primary drivers of a path toward profitability.

Key Performance Indicators

Revenue

2.34B
QoQ: 86 560.52% | YoY:69 528.18%

Gross Profit

994.35M
42.42% margin
QoQ: 88 857.62% | YoY:64 095.63%

Operating Income

-2.71B
QoQ: -132 467 010.69% | YoY:-573 587.39%

Net Income

-2.72B
QoQ: -11 614 042.27% | YoY:-781 133.24%

EPS

-159.48
QoQ: -11 391 528.57% | YoY:N/A

Revenue Trend

Margin Analysis

Key Insights

  • Revenue: USD 2,343,959,000 in QQ1 2026; YoY growth reported as 69,528.18% and QoQ growth 86,560.52% in the provided metrics.
  • Gross Profit: USD 994,346,000; Gross Margin: 42.42%.
  • Operating Income: USD -2,714,247,000; Operating Margin: -111.60%.
  • EBITDA / EBITDAR: USD -2,714,247,000; EBITDARatio: -1.1579.
  • Net Income: USD -2,719,753,000; Net Margin: -116.03%.

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 2,343.96 -159.48 +69.0% View
Q4 2024 2.70 0.00 -5.5% View
Q3 2024 2.65 0.00 -14.1% View
Q2 2024 2.84 -0.02 +9.1% View
Q1 2024 3.37 0.00 +0.0% View