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Xerox Holdings Corporation

XRX Industrials Business Equipment & Supplies

Xerox Holdings Corporation’s revenue for fiscal 2025 (year ended December 2025) was $7.0 billion, up 12.9% from fiscal 2024. In the quarter to June 2026, revenue grew 22.0%, EPS grew 108.1%, free cash flow grew 136.7% and total debt rose 7.13%, each against the same quarter a year earlier.

2.75 0.17 −5.82%
Market cap
$383.4M
P/E
0.0×
Fwd P/E
1.2×
Dividend yield
3.65%
F-score
4/9
Altman Z
1.13
Beneish M
−2.89
Dividend safety
18/100

Insider Decisions trades per month

Dec 25 Mar 26 Jun 26 Sep 26
Buy — — — — — — — — — — — —
Sell — — — — — — — — — — — —
Insider Ownership 15.83%

Capital & Financial Ratios $m

Market Cap 383.44
Revenue 7,757.00
Net Income (925.00)
Free Cash Flow 118.00
Net Debt 3,728.00
Current Ratio 1.18
Debt/Equity 7.76 (above 2: weak)
P/E ratio 0.00
Fwd P/E 1.23
P/S ratio 0.05
P/B ratio 1.09
Past 5Y EPS Growth —
This Y EPS Growth 124.00% (at or above 15%: strong)
Next Y EPS Growth 201.74% (at or above 15%: strong)
Next Y revenue growth 8.23%
Next 5Y EPS Growth 11.45%

Green and red mark values outside typical ranges. How we judge →

Valuation vs history

P/S against its own 10 years 3.84%
10-year low 10-year high
P/B against its own 10 years 65.95%
10-year low 10-year high
EV/Sales against its own 10 years 0.48%
10-year low 10-year high
EV/FCF against its own 10 years 87.46%
10-year low 10-year high

Dividends

Payout Ratio —
Annual Dividend Rate 0.10
Annual Dividend Yield 3.65%
total individual payouts
2028 Powerpack
2027 Powerpack
2026 0.33
0.03
0.03
0.03
2025 0.46
0.13
0.03
0.03
0.03
2024 1.00
0.25
0.25
0.25
0.25
2023 1.00
0.25
0.25
0.25
0.25
2022 1.00
0.25
0.25
0.25
0.25
2021 1.00
0.25
0.25
0.25
0.25
2020 1.00
0.25
0.25
0.25
0.25
2019 1.00
0.25
0.25
0.25
0.25
2018 1.00
0.25
0.25
0.25
0.25
2017 1.00
0.25
0.25
0.25
0.25
2016 0.82
0.21
0.21
0.21
0.21
predictions special payouts not included in total or ratios

Assets vs Liabilities $m

2023 2024 2025 Q'26
Cash 519 576 512 495
Receivables 1,763 1,452 1,678 1,667
Inventory 661 695 1,016 1,043
Other 234 212 362 492
3,177 2,935 3,568 3,697
2023 2024 2025 Q'26
Payables 1,044 1,023 1,498 1,456
ST’ Debt 567 585 231 70
Other — — — 90
2,779 2,619 3,222 3,126

Compound Annual Growth %

10y 5y 3y
Sales (4.78%) 0.00% (0.40%)
Cash Flow (17.91%) (16.38%) 12.10%
Earnings 0.00% 0.00% 0.00%
Book Value (23.35%) (35.22%) (42.93%)

Revenue $m

Mar Jun Sep Dec Year
’26 1,846 1,922 — — —
’25 1,457 1,576 1,961 2,028 7,022
’24 1,502 1,578 1,528 1,613 6,221
’23 1,715 1,754 1,652 1,765 6,886
’22 1,668 1,747 1,751 1,941 7,107
’21 1,710 1,793 1,758 1,777 7,038
’20 1,860 1,465 1,767 1,930 7,022
Fiscal quarters ending in the months shown.

Operating Cash Flow $m

Mar Jun Sep Dec Year
’26 (144) 37 — — —
’25 (89) (11) 116 208 224
’24 (79) 123 116 351 511
’23 78 95 124 389 686
’22 66 (85) (8) 186 159
’21 117 214 100 198 629
’20 173 34 106 235 548
Fiscal quarters ending in the months shown.

Free Cash Flow $m

Mar Jun Sep Dec Year
’26 (165) 11 — — —
’25 (109) (30) 88 184 133
’24 (89) 115 107 334 467
’23 70 88 112 379 649
’22 50 (98) (18) 168 102
’21 100 198 81 182 561
’20 150 15 88 221 474
Fiscal quarters ending in the months shown.

EPS $

Mar Jun Sep Dec Year
’26 (0.84) 0.07 — — —
’25 (0.75) (0.87) (6.01) (0.60) (8.25)
’24 (0.94) 0.11 (9.71) (0.20) (10.75)
’23 0.43 (0.41) 0.28 (0.50) (0.09)
’22 (0.38) (0.05) (2.48) 0.74 (2.15)
’21 0.18 0.46 0.48 (3.97) (2.56)
’20 (0.03) 0.11 0.41 0.36 0.84
Fiscal quarters ending in the months shown.

Target Price Range

Analyst price targets

Recommendation Rating

3.4
1Buy 2 3Hold 4 5Sell

Ten years at a glance Fiscal years to December

Group Line 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025 Trend 2026e 2027e 2028e
Price, $
Price, $ Low 22.35 25.84 18.58 19.33 14.22 17.59 11.80 12.06 8.02 2.32

Analyst estimates 2026–2028

Powerpack
High 30.01 34.13 37.42 39.47 38.69 26.96 24.14 19.00 19.78 9.91
People
People Employees 37,600 35,300 32,400 27,000 24,700 23,300 20,500 20,100 16,800 22,900
Revenue/emp, $m 0.29 0.28 0.30 0.34 0.28 0.30 0.35 0.34 0.37 0.31
Income, $m
Income, $m Revenue 10,771 9,991 9,662 9,066 7,022 7,038 7,107 6,886 6,221 7,022
Gross margin, % 39.97 40.75 40.04 40.26 37.40 34.14 32.62 33.60 31.51 27.07
EBT 568 525 549 822 252 (472) (325) (28) (1,216) (488)
EBT margin, % 5.27 5.25 5.68 9.07 3.59 (6.71) (4.57) (0.41) (19.55) (6.95)
Net income (460) 207 374 1,361 192 (455) (322) 1 (1,321) (1,029)
Depreciation 563 527 526 430 368 327 270 251 274 331
Per share, $
Per share, $ Revenue 42.51 39.28 38.85 40.84 33.60 38.42 45.56 46.18 50.08 55.52
Earnings 2.32 0.71 1.40 6.03 0.85 (2.56) (2.15) (0.09) (10.75) (8.25)
Cash flow 3.15 (1.05) 4.58 6.01 2.62 3.43 1.02 4.60 4.11 1.77
Capex (0.54) (0.41) (0.36) (0.29) (0.35) (0.37) (0.37) (0.25) (0.35) (0.72)
Free cash flow 2.60 (1.46) 4.22 5.71 2.27 3.06 0.65 4.35 3.76 1.05
Book value 19.58 21.65 21.12 26.17 27.80 25.42 22.86 18.52 10.42 5.24
Shares, m 253 254 249 222 209 183 156 149 124 126
Valuation, ×
Valuation, × P/E 13.25 45.18 14.01 6.01 26.97 0.00 0.00 0.00 0.00 0.00
P/S 0.65 0.75 0.51 0.90 0.69 0.59 0.33 0.39 0.17 0.04
P/B 1.47 1.41 0.98 1.46 0.87 0.93 0.70 1.06 0.97 0.67
EV/Sales 1.03 1.17 0.94 1.07 0.95 0.93 0.71 0.79 0.62 0.57
EV/FCF 13.25 (31.44) 8.63 7.67 14.06 11.68 49.36 8.39 8.29 30.34
Cash, $m
Cash, $m Operating cash flow 798 (267) 1,140 1,333 548 629 159 686 511 224
Capex (138) (105) (90) (65) (74) (68) (57) (37) (44) (91)
Free cash flow 660 (372) 1,050 1,268 474 561 102 649 467 133
Balance, $m
Balance, $m Working capital 2,338 2,489 1,462 2,705 3,305 1,872 777 398 316 346
Total debt 6,316 5,517 5,230 4,282 4,444 4,246 3,726 3,277 3,399 4,247
Net debt 4,093 4,224 4,149 1,542 1,819 2,406 2,681 2,758 2,823 3,735
Shareholders’ equity 4,961 5,507 5,253 5,808 5,810 4,657 3,567 2,762 1,294 663
Returns, %
Returns, % ROA (2.16) 1.15 2.34 9.04 1.20 (3.35) (2.71) (0.12) (14.53) (11.47)
ROIC 8.33 7.22 6.81 10.03 3.65 3.32 2.54 4.40 3.52 0.24
ROE (6.79) 3.88 6.99 25.45 3.18 (9.34) (8.62) (0.44) (73.59) (136.43)
Negative figures in brackets.

All 10 years →

Fiscal years to Dec 2025 · latest quarter Jun 2026

Charts ten years each

Xerox Holdings Corporation vs peers in Business Equipment & Supplies (Q) = latest quarter vs a year earlier

Company Market cap P/E Fwd P/E Revenue growth (Q) EPS growth (Q) FCF growth (Q) Gross margin (Q) EBIT margin (Q) Compare
EBF Ennis, Inc. $576.0M 14.3× — (loss-making) +3.37% (above 0%: growing) −27.14% (below 0%: shrinking) +21.39% (above 0%: growing) 29.89% 13.31% Compare
ACTG Acacia Research Corporation $428.4M — (loss-making) — (loss-making) +123.59% (above 0%: growing) n/m −103.95% (below 0%: shrinking) 26.75% 7.43% Compare
ACCO Acco Brands Corporation $411.7M 7.1× 5.1× +5.14% (above 0%: growing) −53.13% (below 0%: shrinking) −47.41% (below 0%: shrinking) 32.31% 7.30% Compare
XRX Xerox Holdings Corporation $383.4M — (loss-making) 1.2× +21.95% (above 0%: growing) n/m +136.67% (above 0%: growing) 35.80% 9.83%
EHGO Eshallgo Inc. $3.5M — — — — −368.18% (below 0%: shrinking) — — Compare
Median of peers $420.1M — — +5.14% — −75.68% 29.89% 7.43%

All 5 Business Equipment & Supplies stocks →

Xerox Holdings Corporation (XRX) key facts

  • Strength: Xerox Holdings Corporation’s revenue for fiscal 2025 (year ended December 2025) was $7.0 billion, up 12.9% from fiscal 2024.
  • Xerox Holdings Corporation (XRX) is a Business Equipment & Supplies company in the Industrials sector, listed on Nasdaq.
  • As of October 9, 2026, XRX traded at $2.75, a market capitalization of $383.4 million.
  • Xerox Holdings Corporation pays an annual dividend of $0.10 per share, a yield of 3.65%.
  • Return on equity was −136.4% and debt-to-equity 7.76.
  • Its Piotroski F-score is 4 out of 9 and its Altman Z-score is 1.13 (distress zone) for fiscal 2025.

Source: company filings (standardised) and stockrow calculations.

Xerox Holdings Corporation (XRX) Latest News

1 May

stockrow.com/XRX · Data as of Jun 30, 2026 · For information only; not investment advice. · © 2026 stockrow.com