PD Earnings Call: What to Expect for 2027 Q2!

PD – PagerDuty, Inc. PD Earnings Call: What to Expect for 2027 Q2 (Quarter ended 31 July 2026; call scheduled 27 Aug 2026)

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1. Executive snapshot • Revenue momentum: Q2 FY-27 revenue grew 0.8 % YoY to $124.4 m and GAAP gross margin held at 84 % (sec.gov). • First clean GAAP profitability cycle: Net income of $7.7 m (diluted EPS $0.06) with operating margin 8 % and interest-coverage >4× (sec.gov). • Balance-sheet is net-cash: $470 m cash + investments vs. $402.5 m 1.50 % converts due 2028 → ~$70 m net cash (sec.gov). • Capital returns accelerating: $200 m 2025 buy-back completed; new $100 m 2026 program has $92 m remaining (sec.gov). • New leadership + restructuring: CEO transition to John DiLullo (11 May 2026) (sec.gov) and 15 % workforce reduction announced 26 Aug 2026 (charges $5.5-$7.5 m) (sec.gov).

2. Dividend policy / capital allocation • No cash dividends historically and “no intention to pay for the foreseeable future” (sec.gov). • Shareholder returns are via buy-backs: $18.6 m shares retired under 2025 plan; new 2026 plan through May 2028 ($92 m capacity) (sec.gov).

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3. Leverage & maturities • Debt: $402.5 m 1.50 % senior unsecured converts due 15 Oct 2028; cash coupon ≈$6 m/yr; initial conversion price $27.35 (sec.gov). • All 2025 converts have been repaid; no other funded debt. • Lease liabilities total $17.6 m with peak annual lease cash outflow ≈$6 m (FY-27–28) (sec.gov).

4. Coverage / liquidity • LTM interest expense ≈$8 m vs. LTM operating income ≈$40 m ⇒ GAAP interest-coverage ≈5×. • Liquidity: $233.7 m cash, $236.4 m short-term investments; management asserts “sufficient for at least 12 months” (sec.gov).

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5. Valuation check (28 Aug 2026 close) • Market cap $1.10 bn; price $13.83; GAAP P/E 6.8×; EV ≈$1.03 bn. EV/LTM sales ~2.1×. Peer multiples:  – OKTA P/E 100×, EV/S ~9× (implied)  – ZM P/E 9×, EV/S ~4×  – SentinelOne negative earnings, EV/S >10× PagerDuty screens as the cheapest pure-play operations/SRE SaaS name on both P/E and EV/S.

6. Risks & red flags • Integration risk from CEO hand-off and headcount cuts; morale/retention could wobble. (sec.gov) • Competitive pressure from ServiceNow, Atlassian (Opsgenie), and hyperscalers. • Convert-overhang: 36.56 share conversion ratio sets a soft ceiling near $27.35. (sec.gov) • Macro IT-spend sensitivity; >70 % of RPO converts to revenue inside 12 months (sec.gov).

7. What to listen for on the Q2 call (27 Aug 2026) • Updated FY-27 guidance vs. reaffirmed $488.5-$496.5 m revenue range given 11 May 2026 (sec.gov). • Early traction for AI-first Operations Cloud upsells and autonomous SRE agent (launched Q2). • Realised cost saves and margin expansion timeline from 15 % workforce reduction. • Details on utilisation of the remaining $92 m buy-back and capital-allocation priorities. • Net retention trend (stabilised in Q1 per management) and large-enterprise pipeline. • Progress on converting cash/investments into higher-yield securities as rates plateau.

8. Open questions for management 1. How quickly can AI-driven incident remediation translate into measurable ARR uplift? 2. Will PD consider opportunistic debt pay-down or capped-call overlays to soften 2028 convert dilution? 3. Is the 20 % long-term non-GAAP operating-margin target still intact post-restructuring? 4. Any appetite for tuck-in M&A to broaden workflow automation, and how would it be financed?

Prepared by: Unknown Publisher – Senior Equity Analyst (30 Aug 2026)

For informational purposes only; not investment advice.

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