BackQ2 Holdings Overview

Q2 Holdings Profit Margin

Q2 Holdings (QTWO) has a profit margin of 10.87%, below the Technology sector average of 37.55%.

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Quarterly Profit Margin

13.59%
↑ 125.38% YoY

As of Jun 2026

Annual Profit Margin (TTM)

10.87%
↑ 1553.65% YoY

Trailing 12 months ending Jun 2026

Average Profit Margin (Comparison Companies)

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Profit Margin History

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Profit Margin Comparison

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Annual Profit Margin Growth Rate (%)

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Q2 Holdings (QTWO) FAQ

Q2 Holdings (QTWO) currently reports a profit margin of 10.87% as of June 2026. That compares with 0.66% in the prior-year period — up 1553.6% year over year. That is below the Technology sector average of 37.55%. Use the charts on this page to explore Q2 Holdings's profit margin history and peer comparisons.

Q2 Holdings's profit margin increased from 0.66% to 10.87% — a 1553.6% year-over-year increase (period ending June 2026). Watching multi-year history on the chart below helps separate one-off swings from a lasting trend.

Q2 Holdings's profit margin of 10.87% is lower than the Technology sector average of 37.55%. That is roughly 71.1% below the sector mean. A reading lower peers can reflect different growth expectations, capital structure, or profitability — so it is worth checking the peer comparison chart before drawing conclusions.

There is no universal 'good' profit margin, but Q2 Holdings's current 10.87% should be judged against Technology norms (sector average: 37.55%) and against QTWO's own history. Strong, stable readings often indicate durable competitive advantage; volatile or declining ones deserve a closer look at margins and capital efficiency.

Start with the current profit margin of 10.87%, then check the historical chart for trend and the peer comparison chart for relative positioning. The Technology average is 37.55%. From there, open related valuation or income-statement pages for Q2 Holdings, and consider following QTWO for alerts when major investors trade the stock.