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Ford Motor (F) Q2 2026 Preview: EPS Est. $0.35, Reports July 28

by theadvisertimes.com
3 weeks ago
in Markets
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Ford Motor (F) Q2 2026 Preview: EPS Est. alt=
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F|EPS Est $0.35 (16 analysts)|Rev Est $45.14B|Reports 2026-07-28 

Wall Street is bracing for a challenging quarter from Ford Motor Company when the automaker reports second-quarter results on July 28 after the closing bell. The consensus among 16 analysts calls for earnings of $0.35 per share on revenue of $45.14 billion. The EPS estimate reflects a year-over-year decline, while the revenue forecast signals a notable contraction from the prior-year period.

Analyst sentiment has shifted in recent months, with estimate revisions painting a mixed picture of conviction. Over the past 30 days, EPS estimates have ticked up 2.9% from $0.34, suggesting some near-term optimism as the quarter drew to a close. However, the 90-day view tells a different story: estimates have fallen 7.9% from $0.38 three months ago, indicating that analysts have been steadily moderating their expectations as industry headwinds and Ford-specific challenges have come into focus. The estimate range spans from $0.23 to $0.41, reflecting considerable uncertainty about the automaker’s ability to navigate current market conditions.

The year-over-year comparison underscores the headwinds Ford faces in 2026. Consensus EPS of $0.35 would represent a 5.4% decline from the $0.37 reported in Q2 2025, while the revenue forecast of $45.14 billion implies a 10.0% drop from last year’s $50.18 billion. The prior-year quarter itself was marked by razor-thin profitability.

The revenue estimate range of $43.21 billion to $46.94 billion reflects analyst uncertainty about demand trends, pricing power, and mix dynamics. A 10.0% year-over-year revenue decline would signal volume pressures or pricing headwinds—or both—as Ford navigates a transitioning automotive landscape. The combination of falling revenue and modestly declining earnings suggests analysts expect Ford to maintain some degree of cost discipline, though margin expansion appears elusive given the magnitude of the top-line contraction relative to the bottom-line impact.

Ford’s stock sits at $14.30 heading into the print, and investors will be parsing results for signs of stabilization or further deterioration. The automaker has faced persistent challenges balancing its legacy internal combustion engine business with investments in electric vehicles and software-defined capabilities, all while managing warranty costs, labor agreements, and shifting consumer preferences. The modest recent uptick in estimates suggests some analysts see signs of near-term stabilization, but the longer-term downward drift indicates caution remains warranted.

The quality of earnings will matter as much as the headline figures. Investors will scrutinize whether Ford is making progress on operational efficiency or if pricing and cost pressures continue to overwhelm the business.

What to Watch: Focus on segment performance across Ford Blue (internal combustion), Ford Model e (electric vehicles), and Ford Pro (commercial) for clues on where strength and weakness are concentrated. Margin trends will be critical—watch for commentary on pricing discipline, material cost inflation, and warranty expense trajectory. Any updates on EV production ramp, battery costs, and the pace of software-defined vehicle rollouts will signal progress on Ford’s transformation. Free cash flow generation and inventory levels will indicate whether the company is managing working capital effectively amid softer demand. Finally, listen for updated full-year guidance, particularly on earnings and cash flow, which will set expectations for the second half.

This content is for informational purposes only and should not be considered investment advice. AlphaStreet Intelligence analyzes financial data using AI to deliver fast and accurate market information. Human editors verify content.



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