FlyE Group Inc Common
FLYE
$8.27 -17.22%
Exchange: NASDAQ | Sector: Consumer Cyclical | Industry: Auto Manufacturers
Q2 2025
Published: Nov 19, 2024

Earnings Highlights

  • Revenue of $6.82M down 22.1% year-over-year
  • EPS of $-0.05 decreased by 251% from previous year
  • Gross margin of 42.6%
  • Net income of -1.14M
  • "Transcript not available for QQ2 2025." - N/A
FLYE
Company FLYE

Executive Summary

FlyE Group’s QQ2 2025 results reflect a continuation of top-line softness and ongoing profitability headwinds, set against a still-healthy gross margin and a stretched balance sheet. Revenue declined to $6.82 million in QQ2 2025, down 22.1% year over year and 13.3% quarter over quarter from Q1 2025’s $7.87 million, signaling demand softness in the near term for FlyE’s smart lightweight mobility products. Despite a gross margin near 42.6%, operating profitability deteriorated meaningfully, with an operating loss of $1.23 million and a net loss of $1.14 million, translating to an EPS of -$0.0465 for the quarter.

Free cash flow remained deeply negative at -$6.52 million, driven by negative operating cash flow of -$4.89 million and a material working-capital outflow of -$4.47 million, alongside capital expenditures of $1.63 million. The company ended the quarter with a cash balance of approximately $1.27 million and a total debt burden of $23.43 million, yielding a net debt position of about $22.16 million. Leverage remains elevated (debt-to-equity ~1.69; debt ratio ~0.61), and liquidity metrics show a current ratio of ~1.21, quick ratio ~0.42, and cash ratio ~0.12, underscoring near-term liquidity risk if cash burn persists.

From a strategic perspective, FlyE’s product portfolio and verticals (smart e-mopeds, e-bikes, scooters, and accessories) position the company to benefit from secular trends toward electrified micro-mobility. However, absent a material uptick in revenue or meaningful cost-reduction initiatives, the quarterly trajectory suggests continued pressure on profitability and cash generation in the near term. The absence of a disclosed earnings-call transcript in the provided datalimits the ability to quote management directly; investors should monitor for signs of cost discipline, product mix shifts toward higher-margin offerings, and any updates on debt-reduction plans or capex normalization in subsequent communications.

Key Performance Indicators

Revenue
Decreasing
6.82M
QoQ: -13.32% | YoY: -22.13%
Gross Profit
Decreasing
2.90M
42.56% margin
QoQ: -6.30% | YoY: -22.78%
Operating Income
Decreasing
-1.23M
QoQ: -2 605.68% | YoY: -213.50%
Net Income
Decreasing
-1.14M
QoQ: -536.66% | YoY: -253.08%
EPS
Decreasing
-0.05
QoQ: -488.61% | YoY: -250.97%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 5.33 -1.50 -34.8% View
Q3 2025 5.68 -0.03 -23.6% View
Q2 2025 6.82 -0.05 -22.1% View
Q1 2025 7.87 -0.01 +0.4% View
Q4 2024 8.17 0.03 +53.7% View