JFB Construction Holdings
JFB
$5.26 -0.38% Quote
Exchange NASDAQ Sector Real Estate Industry Real Estate Development
Q4 2024
Reported
Published: Mar 31, 2025

Data: Financial Modeling Prep

Company Status Snapshot

Fast view of the latest quarter outcome for JFB

Report Date

Mar 31, 2025

Quarter Q4 2024

Revenue

7.12M

YoY: -37.0%

EPS

0.04

YoY: -80.2%

Market Move

-0.38%

Previous quarter: Q3 2024

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Earnings Highlights

Gross Margin

25.5%

Net Income

349.06K

YoY: -79.8%

No earnings call transcript available.

— N/A
JFB
Company JFB

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Executive Summary

JFB Construction Holdings posted a Q4 2024 revenue run-rate of $7.12 million, representing a 37.0% year-over-year decline and a 10.1% quarter-on-quarter drop. Despite the top-line contraction, the company delivered a positive operating margin of 4.76% and a net income of $0.349 million, with EPS of $0.0377. EBITDA stood at $0.375 million, underscoring modest operating leverage amid a lean cost structure. The quarter’s margin resilience, contrasted with revenue softness, suggests ongoing project execution efficiency though scale remains limited.

The balance sheet shows strong liquidity and a favorable liquidity cushion: cash and equivalents of $2.70 million against total debt of $0.82 million, yielding a net cash position of approximately -$1.88 million. However, operating cash flow was negative at -$0.663 million, driven by working-capital dynamics (DSO ~54 days, accounts receivable and payables movements) and negative free cash flow of -$0.73 million. The company ends the period with a solid current ratio (~2.70x) and a cash ratio above 1.0x, indicating near-term financial flexibility but ongoing cash-burn risk in daily operations. Valuation implies a premium multiple (P/E ~23.2x, P/B ~5.1x) relative to broader market norms, reflecting its niche in Real Estate Development and the liquidity position despite scale limitations.

Looking ahead, the absence of formal forward guidance in the provided data leaves investors focused on execution milestones: securing project wins, converting backlog to revenue, and improving working capital efficiency. The stock’s appeal rests on its cash-rich balance sheet and potential upside from pipeline execution and margin stabilization, balanced against macro real estate cyclicality and the need to convert OCF into positive cash generation.

Key Performance Indicators

Revenue
Decreasing
7.12M
QoQ: -10.06% | YoY: -37.02%
Gross Profit
Decreasing
1.81M
25.46% margin
QoQ: 22.31% | YoY: -27.52%
Operating Income
Decreasing
339.22K
QoQ: 182.83% | YoY: -80.17%
Net Income
Decreasing
349.06K
QoQ: 193.47% | YoY: -79.80%
EPS
Decreasing
0.04
QoQ: 193.32% | YoY: -80.16%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 10.47 -0.25 +109.5% View
Q1 2025 5.91 0.00 +93.6% View
Q4 2024 7.12 0.04 -37.0% View
Q3 2024 7.92 -0.04 +85.9% View
Q2 2024 5.00 0.00 -48.0% View