Lamb Weston Holdings Inc
LW
$62.76 1.67%
Exchange: NYSE | Sector: Consumer Defensive | Industry: Packaged Foods
Q3 2025
Published: Apr 3, 2025

Earnings Highlights

  • Revenue of $1.52B up 4.3% year-over-year
  • EPS of $1.03 increased by 2% from previous year
  • Gross margin of 27.8%
  • Net income of 146.00M
  • "'Everything is on the table, and we are moving with urgency.'" - Mike Smith

Lamb Weston Holdings Inc (LW) QQ3 2025 Results Analysis β€” Volume Growth, Margin Pressures, and Value-Creation Pivot (NYSE: LW)

Executive Summary

Lamb Weston reported a solid third quarter to FY2025 with a 9% volume increase alongside a 4% lift in net sales, driven by ERP-transition effects, contract wins, and ongoing share gains across North America and international markets. Adjusted EBITDA rose 6% to $364 million, but gross margin declined modestly as price/mix and higher transport/warehouse costs offset some of the operating leverage. Management attributes the performance to the end-to-end value-creation program, including more than 30 initiatives, and reiterated a commitment to deliver at least $55 million of pretax savings in FY2025 and $85 million in FY2026. The company also signaled a disciplined approach to capacity and working capital through line curtailments and ongoing capital projects, while guiding to modest revenue growth and continued margin headwinds in the near term. Key takeaways for investors include: (1) a credible turnaround trajectory aided by cost containment, productivity gains, and a broadened customer base; (2) a leverage and liquidity position that supports ongoing shareholder returns and capital expenditure, albeit with elevated debt levels; and (3) a cautious near-term margin pathway driven by fixed-cost absorption as production scales and inventories normalize, with a path to potential margin expansion as ERP benefits fully materialize and the value-creation program accelerates.

Key Performance Indicators

Revenue

1.52B
QoQ: -5.02% | YoY:4.27%

Gross Profit

422.50M
27.79% margin
QoQ: 52.09% | YoY:4.66%

Operating Income

248.70M
QoQ: 1 244.32% | YoY:11.08%

Net Income

146.00M
QoQ: 504.43% | YoY:-0.07%

EPS

1.03
QoQ: 512.00% | YoY:1.98%

Revenue Trend

Margin Analysis

Key Insights

  • Third quarter revenue: $1.5205 billion; gross profit $422.5 million; gross margin 27.8%; operating income $248.7 million; EBITDA $350.9 million; net income $146.0 million; diluted EPS $1.03.
  • YoY and QoQ: Revenue YoY +4.27%, QoQ -5.02%; Gross profit YoY +4.66%, QoQ +52.09%; Operating income YoY +11.08%, QoQ +1,244.32%; Net income YoY -0.07%, QoQ +504.43%; EPS YoY +1.98%, QoQ +512.00%.
  • North America net sales +4% YoY; volume +8% YoY; price/mix down 4% YoY.
  • International net sales +5% YoY; volume +12% YoY; price/mix down ~7% YoY (constant currency ~4% decline).
  • Adjusted EBITDA: North America $301 million (+$15 million YoY), International $93 million (-$8.5 million YoY).

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 1,659.30 0.46 +2.9% View
Q3 2025 1,520.50 1.03 +4.3% View
Q2 2025 1,600.90 -0.25 -7.6% View
Q1 2025 1,654.10 0.88 -0.7% View
Q4 2024 1,611.90 0.89 -4.9% View