FMP
Oct 07, 2025
JPMorgan Chase & Co. (NYSE:JPM) is a leading global financial institution, known for its comprehensive range of services and significant market presence. As it prepares to release its quarterly earnings on October 14, 2025, analysts anticipate an earnings per share (EPS) of $4.79 and revenue of approximately $45.27 billion. This release is closely watched, given JPM's history of surpassing earnings expectations.
JPMorgan has consistently outperformed earnings estimates, with an average earnings surprise of 9.86% over the past two quarters. In the most recent quarter, the bank reported earnings of $4.51 per share against an expected $4.96, resulting in a 9.98% surprise. This trend of exceeding expectations has positively influenced earnings estimates for the company.
Despite a negative enterprise value to operating cash flow ratio of -6.16, JPMorgan's financial metrics remain robust. The price-to-earnings (P/E) ratio is approximately 15.25, indicating investor confidence in the company's earnings potential. The price-to-sales ratio of 3.09 and enterprise value to sales ratio of 3.32 further reflect the company's strong market valuation.
Martin Capital Partners, LLC recently sold 12,035 shares of JPMorgan, valued at $3.6 million, during the third quarter. Despite this sale, Martin Capital still holds 23,805 shares, valued at $7.51 million, representing 2.9% of its assets. This transaction highlights investor activity ahead of JPMorgan's earnings release.
JPMorgan's stock price has seen a significant increase, currently priced at around $307, marking a 46% rise over the past year. This performance has outpaced the S&P 500 by 28 percentage points, underscoring the company's strong market position. With a debt-to-equity ratio of 1.36 and a current ratio of 0.30, JPMorgan maintains a balanced financial structure, supporting its growth and stability.
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