Uranium Energy Corp
UEC
$13.07 0.54%
Exchange: AMEX | Sector: Energy | Industry: Uranium
Q4 2024
Published: Sep 27, 2024

Earnings Highlights

  • EPS of $-0.04 decreased by 536.8% from previous year
  • Net income of -15.12M
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Uranium Energy Corp (UEC) QQ4 2024 Earnings Analysis: Negative Profitability Amid Liquidity Strength in a Volatile Uranium Market

Executive Summary

- UEC reported a challenging QQ4 2024 with a net loss of $15.11 million (-$0.038 per share) and an EBITDA of approximately -$15.75 million, driven by negative gross profit of -$10.94 million on revenue that is not disclosed in the reported metrics. Operating income stood at -$19.06 million, underscoring ongoing cost structure pressures during the quarter. The absence of reported revenue and the sizable negative gross profit indicate either a timing/recognition nuance or near-term top-line headwinds in a market navigating uranium price volatility. - Despite the earnings softness, liquidity remains substantial. The company reports cash and cash equivalents of about $87.5 million and total cash and short-term investments around $156.3 million, yielding a net debt position of approximately -$84.9 million. This liquidity cushion supports ongoing project development and working-capital needs in a capital-intensive sector. The balance sheet shows total assets of roughly $889.8 million against total liabilities of about $111.7 million, with a current ratio of 8.05 and a cash ratio near 3.00, signaling strong short-term liquidity. - The quarterly results are juxtaposed against a broader uranium market that features price volatility and policy-related uncertainties. While near-term profitability is weak, UECโ€™s portfolio of US-based uranium projects (Palangana, Goliad, Burke Hollow, Longhorn, Salvo, Reno Creek, and others) positions the company for potential long-run value creation if uranium demand recovers and production ramps, supported by favorable domestic energy security dynamics. The stockโ€™s current valuation (e.g., price-to-book around 3.0) reflects a yet-to-be-proven earnings turnaround, with market upside contingent on commodity price stabilization and project execution.

Key Performance Indicators

Operating Income

-19.06M
QoQ: -37.68% | YoY:-67.39%

Net Income

-15.12M
QoQ: 23.18% | YoY:-555.13%

EPS

-0.04
QoQ: 21.97% | YoY:-536.78%

Revenue Trend

Margin Analysis

Key Insights

  • Revenue: Not disclosed in the QQ4 metrics; reported revenue field is null. This causes the gross profit to be negative at -$10.935 million due to costs exceeding disclosed top-line recognition for the quarter.
  • Gross Profit: -$10.935 million; Gross Profit Margin: not reported. YoY gross profit change: -92.93% (from the earnings metrics data).
  • Operating Income: -$19.057 million. YoY operating income change: -67.39%; QoQ change: -37.68%.
  • EBITDA: -$15.746 million (quarterly).
  • Net Income: -$15.115 million. YoY net income change: -555.13%; QoQ change: +23.18%.

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2025 49.75 -0.02 +27.7% View
Q1 2025 17.09 -0.05 +14.0% View
Q4 2024 0.00 -0.04 +0.0% View
Q3 2024 0.00 -0.05 +0.0% View
Q4 2023 38.95 0.00 -18.7% View