Uranium Energy Corp
UEC
$13.06 0.46%
Exchange: AMEX | Sector: Energy | Industry: Uranium
Q2 2025
Published: Mar 12, 2025

Earnings Highlights

  • Revenue of $49.75M up 27.7% year-over-year
  • EPS of $-0.02 decreased by 1% from previous year
  • Gross margin of 36.6%
  • Net income of -10.23M
  • "" -

Uranium Energy Corp (UEC) QQ2 2025 Earnings Analysis: Revenue Expands Significantly to $49.8M, Yet Net Loss Persists Amid Acquisition-Driven Cash Outlays

Executive Summary

Uranium Energy Corp (UEC) delivered a materially higher Q2 2025 revenue base of $49.75 million, up 27.7% year over year and 191.2% quarter over quarter, driven by stronger sales and project activity in its U.S. uranium portfolio. Gross margins remained healthy at 36.6%, with gross profit of $18.23 million. However, the company continued to report a net operating loss and net loss for the quarter (-$3.63 million and -$10.23 million, respectively), reflecting ongoing fixed cost leverage challenges and a significant acquisition outlay that weighed on near-term profitability. EBITDA was negative at -$10.33 million, and the EBITDA margin stood at -20.8%. The cash flow profile shows operating cash flow of -$8.81 million and free cash flow of -$10.02 million, with capital expenditures of only $1.21 million but a substantial investing activity outflow (-$188.95 million) driven by acquisitions (net acquisitions of -$177.29 million). Financing activities provided $70.64 million, primarily from equity issuance, leaving a net cash burn of $127.13 million for the period and ending cash of $70.72 million. The balance sheet remains solid at $982.0 million in total assets and $877.2 million in shareholdersโ€™ equity, with no long-term debt and a net cash position of approximately -$61.5 million. Liquidity metrics are strong (current ratio 9.44; quick ratio 4.39; cash ratio 4.10), but near-term profitability will hinge on uranium prices, contract wins, and successful integration of the acquired assets. Overall, UEC appears well positioned from a balance sheet standpoint, but faces profitability and earnings visibility challenges until price and volume catalysts materialize.

Key Performance Indicators

Revenue

49.75M
QoQ: 191.16% | YoY:27.73%

Gross Profit

18.23M
36.64% margin
QoQ: 191.57% | YoY:606.70%

Operating Income

-3.63M
QoQ: 72.48% | YoY:-199.02%

Net Income

-10.23M
QoQ: 49.23% | YoY:-2 079.50%

EPS

-0.02
QoQ: 50.51% | YoY:-1 828.57%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $49.75M (YoY +27.7%, QoQ +191.2%) Gross Profit: $18.226M; Gross Margin: 36.6% (YoY +606.7%, QoQ +191.6%) Operating Income: -$3.634M; Operating Margin: -7.30% EBITDA: -$10.328M; EBITDARatio: -0.208 Net Income: -$10.234M; Net Margin: -20.57%; EPS: -$0.0242 Cash Flow: Operating cash flow -$8.808M; Free cash flow -$10.018M Investing: Investments in property, plant and equipment -$1.21M; Acquisitions net -$177.288M; Net cash used in investing -$188.953M Financing: Common stock issued +$70.64...

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