TOMI Environmental Solutions, Inc. to Hold Conference Call to Discuss Second Quarter 2025 Financial Results on August 14, 2025 - Candlesense

TOMI Environmental Solutions, Inc. to Hold Conference Call to Discuss Second Quarter 2025 Financial Results on August 14, 2025

FREDERICK, Md., Aug. 11, 2025 (GLOBE NEWSWIRE) -- TOMI Environmental Solutions, Inc.¼ (“TOMI”) (NASDAQ: TOMZ), a global company specializing in disinfection and decontamination solutions, today announced it will report results for the second quarter ended June 30, 2025, after the close of the financial markets on Thursday, August 14, 2025, and will hold a conference call at 4:30 p.m. ET that day.

Related Questions

What were the reported revenue, net income, and EPS for Q2 2025, and how do they compare to the previous quarter and year‑over‑year? Did TOMI meet, exceed, or miss consensus analyst estimates for revenue and earnings in this quarter? What guidance did the company provide for Q3 2025 and the full‑year 2025 outlook, including revenue, EPS, and cash flow expectations? What were the key drivers of revenue growth or decline (e.g., product lines, geographic regions, new contracts) in the second quarter? How did operating margins, gross margins, and operating expenses trend versus the prior period and versus peers? Did the company report any changes in its capital structure, debt levels, or cash‑on‑hand that could affect liquidity? What is the outlook for the core disinfection and decontamination market, and how is TOMI positioned relative to competitors? Are there any announced or anticipated regulatory changes that could impact TOMI’s product portfolio or market demand? Did the company announce any new partnerships, acquisitions, divestitures, or significant R&D milestones in the quarter? What are the expected impacts of any recent supply‑chain constraints or raw‑material price changes on margins? How does the company's valuation multiples (e.g., P/E, EV/EBITDA) compare to peer companies after the earnings release? What is the expected impact on the stock price in the short‑term (intraday) and longer‑term (fundamental) based on the Q2 results? Are there any insider transactions or changes in executive compensation disclosed that could signal management confidence?