DailyIQ

POOL Earnings

Company • Q3 2026 earnings report

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Report date
-
Timing
-
Period
2026Q3
EPS EstimateEPS ActualRevenue EstimateRevenue Actual
- Not available yet - Not available yet
Actuals update automatically shortly after the company reports.
POOL|EarningsPOOL

POOL Financials

Full financials →
65/ 100
Moderately positive
Verdict: Neutral
Revenue declining year over year
Gross Margin
29.7%
Operating Margin
11%
Net Margin
7.7%
FCF Margin
5.9%
Revenue CAGR
6.6%
Current Ratio
2.24x
Debt / Equity
1.01x
Return on Equity
34.3%
Return on Assets
11.2%

Financial Statements

Line Item
Q4 '25
Q3 '25
Q2 '25
Q1 '25
Q4 '24
Q3 '24
Q2 '24
Q1 '24
Q4 '23
Q3 '23
Q2 '23
Q1 '23
Income Statement
Revenue
$982.21M 0.5%
$1.45B 1.3%
$1.78B 0.8%
$1.07B 4.4%
$987.48M 1.6%
$1.43B 2.8%
$1.77B 4.7%
$1.12B 7.1%
$1.00B
$1.47B
$1.86B
$1.21B
Cost of Revenue
$686.46M 1.5%
$1.02B 0.5%
$1.25B 0.8%
$759.16M 3.0%
$697.24M 1.7%
$1.02B 2.8%
$1.24B 3.9%
$782.25M 6.5%
$709.28M
$1.05B
$1.29B
$837.02M
Gross Profit
$295.75M 1.9%
$429.18M 3.1%
$535.16M 0.9%
$312.37M 7.7%
$290.24M 1.2%
$416.40M 2.9%
$530.14M 6.6%
$338.56M 8.4%
$293.77M
$428.73M
$567.78M
$369.75M
Operating Income
$52.01M 14.2%
$177.99M 0.9%
$272.67M 0.4%
$77.54M 28.7%
$60.65M 23.6%
$176.35M 9.3%
$271.48M 17.0%
$108.72M 25.4%
$79.34M
$194.44M
$327.01M
$145.77M
SG&A Expense
$243.74M 6.2%
$251.20M 4.6%
$262.49M 1.5%
$234.83M 2.2%
$229.59M 7.1%
$240.05M 2.5%
$258.66M 7.4%
$229.84M 2.6%
$214.43M
$234.29M
$240.77M
$223.98M
Interest Expense
Pretax Income
$40.63M 19.1%
$165.98M 1.2%
$260.45M 1.2%
$66.37M 30.4%
$50.22M 25.3%
$164.00M 9.3%
$257.44M 17.0%
$95.30M 26.7%
$67.24M
$180.84M
$310.12M
$129.94M
Income Tax Expense
$9.08M 29.8%
$38.98M 1.6%
$66.18M 1.7%
$12.88M 21.8%
$12.94M 17.8%
$38.36M 11.0%
$65.06M 16.6%
$16.47M 41.7%
$15.74M
$43.08M
$77.99M
$28.27M
Net Income
$127.01M 1.0%
$194.26M 0.9%
$53.55M 32.1%
$125.70M 8.8%
$192.44M 17.1%
$78.89M 22.4%
$137.84M
$232.25M
$101.70M
Comprehensive Income
$29.95M 14.9%
$123.63M 0.5%
$205.41M 10.2%
$54.56M 29.5%
$26.07M 49.2%
$124.19M 7.1%
$186.38M 21.9%
$77.44M 22.8%
$51.27M
$133.73M
$238.55M
$100.36M
EPS (Basic)
$0.87 13.9%
$3.41 3.6%
$5.19 3.4%
$1.42 30.7%
$1.01 25.7%
$3.29 7.1%
$5.02 15.6%
$2.05 21.2%
$1.36
$3.54
$5.95
$2.60
EPS (Diluted)
$0.86 14.0%
$3.40 4.0%
$5.17 3.6%
$1.42 30.4%
$1.00 25.9%
$3.27 6.8%
$4.99 15.6%
$2.04 20.9%
$1.35
$3.51
$5.91
$2.58
Weighted Avg Shares (Basic)
-74.67M 2.1%
37.09M 2.4%
37.27M 2.2%
37.46M 2.0%
-76.31M 1.9%
37.98M 1.9%
38.12M 1.8%
38.20M 1.7%
-77.75M
38.73M
38.84M
38.88M
Weighted Avg Shares (Diluted)
-74.97M 2.3%
37.22M 2.5%
37.41M 2.4%
37.63M 2.2%
-76.75M 2.0%
38.19M 2.1%
38.33M 2.0%
38.47M 1.8%
-78.33M
39.02M
39.12M
39.19M
Cash Flow
Operating Cash Flow
$80.11M 53.0%
$287.29M 9.2%
-$28.77M 207.9%
$27.22M 81.3%
$170.57M 23.4%
$316.52M 15.2%
$26.66M 90.3%
$145.44M 40.9%
$138.21M
$373.24M
$273.57M
$103.20M
Capital Expenditures
$8.21M 39.3%
$20.73M 88.1%
$14.10M 21.2%
$13.29M 22.0%
$13.53M 21.1%
$11.02M 13.7%
$17.89M 22.4%
$17.04M 9.4%
$17.14M
$12.77M
$14.62M
$15.57M
Free Cash Flow
$71.90M 54.2%
$266.55M 12.7%
-$42.86M 588.7%
$13.93M 89.2%
$157.04M 29.7%
$305.49M 15.3%
$8.77M 96.6%
$128.40M 46.5%
$121.07M
$360.47M
$258.95M
$87.63M
Investing Cash Flow
-$12.04M 28.0%
-$27.28M 145.9%
-$14.90M 23.2%
-$13.56M 28.4%
-$16.73M 2.1%
-$11.10M 12.2%
-$19.39M 20.2%
-$18.95M 7.9%
-$17.09M
-$12.65M
-$24.30M
-$17.56M
Financing Cash Flow
-$91.01M 44.8%
-$215.52M 30.9%
$53.76M 122.8%
-$20.61M 83.4%
-$164.76M 16.6%
-$311.75M 5.0%
$24.13M 110.8%
-$124.16M 17.7%
-$141.30M
-$328.29M
-$223.02M
-$105.52M
Dividends Paid
$46.25M 1.8%
$46.50M 1.3%
$46.94M 2.1%
$45.23M 6.8%
$45.45M 7.0%
$45.89M 6.8%
$45.95M 7.0%
$42.33M 8.3%
$42.48M
$42.97M
$42.95M
$39.07M
Balance Sheet
Total Assets
$3.63B 7.7%
$3.50B 4.0%
$3.67B 0.9%
$3.71B 1.2%
$3.37B 1.7%
$3.37B 1.8%
$3.64B 1.1%
$3.76B 2.7%
$3.43B
$3.43B
$3.68B
$3.86B
Current Assets
$1.97B 13.9%
$1.85B 6.2%
$2.03B 1.4%
$2.08B 2.8%
$1.73B 4.8%
$1.74B 5.0%
$2.01B 4.4%
$2.14B 7.3%
$1.82B
$1.83B
$2.10B
$2.31B
Cash & Equivalents
$104.96M 34.8%
$128.48M 40.7%
$83.67M 13.6%
$71.64M 5.4%
$77.86M 17.0%
$91.35M 7.2%
$96.89M 82.0%
$67.97M 156.8%
$66.54M
$85.22M
$53.23M
$26.47M
Accounts Receivable
$136.06M 17.5%
$138.07M 15.5%
$172.03M 1.3%
$146.21M 2.7%
$115.83M 20.5%
$119.54M 15.2%
$169.85M 16.5%
$150.24M 7.9%
$145.72M
$141.00M
$203.46M
$163.05M
Inventory
$1.45B 12.8%
$1.22B 3.7%
$1.33B 2.7%
$1.46B 2.4%
$1.29B 5.6%
$1.18B 6.3%
$1.30B 7.0%
$1.50B 11.2%
$1.37B
$1.26B
$1.39B
$1.69B
Goodwill
$707.35M 1.2%
$705.27M 0.7%
$700.48M 0.1%
$699.25M 0.0%
$698.91M 0.2%
$700.15M 0.1%
$699.69M 0.0%
$699.42M 0.9%
$700.08M
$699.27M
$699.92M
$693.24M
Intangible Assets
$283.88M 2.4%
$285.41M 2.5%
$286.81M 2.7%
$288.77M 2.6%
$290.73M 2.5%
$292.72M 2.5%
$294.68M 2.6%
$296.49M 2.4%
$298.28M
$300.24M
$302.44M
$303.75M
Total Liabilities
$2.44B 16.5%
$2.12B 9.6%
$2.37B 7.0%
$2.47B 2.5%
$2.09B 1.0%
$1.93B 3.9%
$2.22B 0.2%
$2.41B 7.4%
$2.12B
$2.01B
$2.22B
$2.61B
Current Liabilities
$880.28M 4.3%
$719.51M 1.0%
$807.97M 0.1%
$1.16B 1.9%
$844.19M 9.5%
$726.91M 2.5%
$807.37M 4.6%
$1.14B 16.2%
$770.77M
$709.12M
$771.74M
$977.42M
Accounts Payable
$652.62M 24.3%
$457.32M 13.8%
$529.32M 2.7%
$890.17M 1.9%
$525.24M 3.3%
$401.70M 6.5%
$515.64M 6.3%
$907.81M 22.7%
$508.67M
$429.44M
$485.10M
$739.75M
Long-Term Debt
$1.19B 31.7%
$1.05B 19.3%
$1.21B 13.1%
$968.03M 2.7%
$900.88M 11.3%
$879.15M 11.7%
$1.07B 6.7%
$942.52M 29.3%
$1.02B
$996.11M
$1.15B
$1.33B
Short-Term Debt
$13.03M 73.7%
$12.88M 4.1%
$12.77M 0.8%
$11.58M 0.7%
$49.47M 29.5%
$13.43M 5.0%
$12.67M 13.0%
$11.65M 3.0%
$38.20M
$12.79M
$11.22M
$11.32M
Total Equity
$1.19B 6.9%
$1.38B 3.7%
$1.30B 8.7%
$1.24B 8.0%
$1.27B 3.0%
$1.43B 1.0%
$1.42B 2.4%
$1.35B 7.1%
$1.31B
$1.42B
$1.46B
$1.26B
Retained Earnings
$520.66M 19.7%
$719.53M 10.3%
$642.23M 19.5%
$600.25M 16.7%
$648.48M 7.4%
$802.38M 1.1%
$798.20M 6.6%
$720.23M 8.2%
$699.99M
$811.43M
$854.56M
$665.56M
Treasury Stock
Shares Outstanding
36.58M 3.0%
37.32M 2.0%
37.31M 2.5%
37.66M 2.1%
37.69M 1.7%
38.08M 1.5%
38.29M 1.9%
38.46M 1.5%
38.35M
38.68M
39.05M
39.03M

Recent News Coverage

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What Typically Drives Post-Earnings Stock Moves

EarningsReleasedTime →Stock PriceBeatMissPre-earnings drift

Stock prices after earnings announcements are driven by expectations vs. reality. If the market expected a company to report $3.00 EPS and it reports $3.10, the stock may rally - but if expectations were $3.20, the same $3.10 result could trigger a selloff. This is why understanding consensus estimates (the average of all analyst predictions) is crucial. Stocks don't move on absolute performance; they move on performance relative to what was already priced in.

Beyond the headline numbers, investors focus heavily on forward guidance. Guidance is management's prediction for the next quarter or full year. A company that beats current earnings but lowers future guidance will often see its stock fall, because the market values future cash flows more than past results. Conversely, a miss with raised guidance can rally the stock. This is why experienced investors listen to earnings calls and read guidance statements - not just the press release headlines.

Profit margins are another critical driver. If a company grows revenue but margins shrink, it suggests pricing pressure or rising costs. Investors prefer expanding margins, which indicate pricing power and operational efficiency. For example, a company reporting 20% revenue growth with flat margins is less impressive than 10% growth with expanding margins. The latter signals a sustainable, high-quality business model.

Finally, market positioning and sector trends matter. During a bull market, stocks often rise on mediocre earnings because investor sentiment is positive. During bear markets, even strong earnings may not prevent selloffs. Additionally, if peers in the same industry are reporting weak results, a company's strong report might be viewed as an outlier rather than a trend. Always consider the broader market context and sector health when interpreting earnings reactions.

How to Interpret This Earnings Report

Earnings reports are the financial scorecards that companies release every quarter. They contain two critical metrics: Earnings Per Share (EPS) and Revenue. EPS represents the company's profit divided by the number of outstanding shares - essentially, how much money the company made for each share of stock. Revenue is the total money the company brought in before expenses. Both metrics are compared against analyst estimates to determine if the company "beat" or "missed" expectations.

When you see "EPS Estimate" vs. "EPS Actual," you're comparing what Wall Street analysts predicted versus what the company actually delivered. A company that reports EPS of $2.50 when estimates were $2.30 has beaten earnings by $0.20 per share. This often triggers a positive stock reaction, but not always. The market cares equally about revenue growth, future guidance, and profit margins. A company can beat EPS estimates while missing revenue targets, which suggests they cut costs rather than grew sales - a less sustainable path.

Understanding year-over-year (YoY) vs. quarter-over-quarter (QoQ) comparisons is critical. YoY compares this quarter to the same quarter last year, accounting for seasonal business patterns. QoQ compares consecutive quarters and reveals short-term momentum. For example, a retailer's Q4 (holiday season) will always be stronger than Q1 - so comparing Q4 to Q1 is misleading. Always focus on YoY growth for long-term trends and QoQ for recent acceleration or deceleration.

Finally, remember that initial market reactions can be misleading. Stocks sometimes fall on earnings beats because investors were expecting an even larger beat, or because forward guidance disappointed. Conversely, stocks can rise on earnings misses if the company provided optimistic future projections or if the miss was smaller than feared. The key is to focus on fundamentals: Is revenue growing? Are profit margins expanding? Is the company gaining or losing market share? These factors matter far more than a single quarter's results.