5 Revealing Analyst Questions From Flowers Foods's Q1 Earnings Call
Is now the time to buy FLO? Find out in our full research report (it's free).
Revenue: $1.55 billion vs analyst estimates of $1.60 billion (1.4% year-on-year decline, 2.7% miss)
Adjusted EPS: $0.35 vs analyst expectations of $0.37 (6.3% miss)
Adjusted EBITDA: $162 million vs analyst estimates of $167.9 million (10.4% margin, 3.5% miss)
The company dropped its revenue guidance for the full year to $5.35 billion at the midpoint from $5.45 billion, a 1.8% decrease
Management lowered its full-year Adjusted EPS guidance to $1.10 at the midpoint, a 6.4% decrease
EBITDA guidance for the full year is $548 million at the midpoint, below analyst estimates of $570.2 million
Operating Margin: 7.3%, in line with the same quarter last year
Organic Revenue was down 3% year on year
Sales Volumes fell 2.7% year on year (-0.8% in the same quarter last year)
Market Capitalization: $3.40 billion
While we enjoy listening to the management's commentary, our favorite part of earnings calls are the analyst questions. Those are unscripted and can often highlight topics that management teams would rather avoid or topics where the answer is complicated. Here is what has caught our attention.
Jim Salera (Stephens) asked if unit share stabilization is likely in the near term. CEO Ryals McMullian responded that meaningful improvement is unlikely this year and may not occur until 2026, given current trends.
Max Gumport (BNP Paribas) inquired about increased promotional activity and its implications for price mix. McMullian explained that Flowers Foods uses promotions selectively to drive trial, especially for differentiated brands, and avoids heavy discounting that could hurt long-term value.
Mitchell Pinheiro (Sturdivant & Company) questioned the long-term EBITDA margin target given current margin compression. McMullian emphasized no change to the long-term outlook but acknowledged that progress may be slower due to near-term setbacks.
Steve Powers (Deutsche Bank) asked about the performance and outlook for new product initiatives such as Simple Mills and DKB snacking. McMullian confirmed both are performing well but that guidance now incorporates consumer caution and macro pressures.
Scott Marks (Jefferies) sought details on the impact of private label and away-from-home business weakness. McMullian noted foodservice softness but said restructuring has improved margins, while new private label contracts are expected to help regain lost volume.
In the coming quarters, the StockStory team will be watching (1) early results from new product launches addressing health and wellness trends, (2) the company's ability to manage input cost pressures from tariffs and other inflationary factors, and (3) evidence of stabilization or improvement in bread category volumes and Flowers Foods' market share. The effectiveness of supply chain optimization efforts and progress in growing differentiated brands will also be important markers of success.
Flowers Foods currently trades at $15.86, down from $17.06 just before the earnings. Is there an opportunity in the stock?The answer lies in our full research report (it's free).
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