STEVEN MADDEN LTD (SHOO)
NASDAQ • Consumer Cyclical
Last close at September 1, 2026 at 20:00 UTC
Metrics Over Time
Where the Money Goes
Q2 2026In plain terms: out of every $100 in revenue, STEVEN MADDEN LTD keeps $4 as net profit.
Fundamentals & Financials
TTM is calculated as the sum of the four most recently completed quarters. This is a standard approach when monthly or real-time data is not available.
Income Statement
Balance Sheet
Financial Highlights
Dividends History
Split History
Earnings
Nov 4
in 63 daysQ4 2026% — EPS deviation from the forecast (beat / miss); quarters without a forecast show the reported EPS
Steven Madden’s second fiscal quarter of 2026 results, reported July 30, showed beats on both adjusted EPS and revenue as sales climbed year over year. Revenue rose 19.1% to about $665.9 million (up from $559.0 million a year ago) and topped the $635.4 million estimate, +4.8%, while adjusted EPS of $0.44 topped the $0.32 estimate, +37%. Profitability came through a gross margin of roughly 47% and an operating margin near 6%, with gross profit of about $309.7 million and operating income of roughly $39.3 million. Net income was about $27.7 million, improving from a net loss of $39.5 million a year ago. The company generated operating cash flow of around $213.3 million and returned cash through roughly $1.0 million of share repurchases while paying about $15.4 million in dividends. Next-period consensus calls for EPS of $0.74 on revenue of $774.9 million.
About STEVEN MADDEN LTD
Steven Madden, Ltd. designs, sources, and markets fashion goods in the consumer discretionary sector, centered on shoes and related categories sold through wholesale, direct retail, and licensing channels. Trading on the NASDAQ as SHOO, the company generated $2.5 billion of revenue in FY2025.
Today's Snapshot
The session closed with SHOO still feeling the impact of a large -4.03% gap down from yesterday. By the end of trading, SHOO posted unremarkable liquidity, with volume around 1.26× its regular 737.3K shares. Into the bell, volatility adjusted 9.85%, suggesting only a modest change in the risk picture.
Trading Volume
Above 10d avg 737.3K
929.1K
vs S&P 500 Today
Strong Underperformance
-3.26%
Updated: September 1, 2026 at 20:26 UTC
Technical Indicators
All signalsHide signals
- EMA (5 indicators)$40.83 - $45.21Sell
- RSI (14)30.23Neutral
- Stochastic %K (14, 3, 3)3.95Buy
- MACD Level (12, 26)-0.48Sell
Peers & Related Assets
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