Uranium Energy Corp (0LJQ.L)

Energy | Oil Gas Energy
Income Statement (Quarterly) 2025-07-31 2025-04-30 2025-01-31 2024-10-31
Revenue 0 0 49,750,000 17,087,000
Cost of Revenue 1,426,000 1,405,000 31,524,000 10,836,000
Gross Profit -1,426,000 -1,405,000 18,226,000 6,251,000
Operating Expenses
R&D Expenses 0 0 0 0
SG&A Expenses 8,901,000 6,126,000 6,598,000 5,342,000
Operating Expenses 33,020,000 23,463,000 21,860,000 19,454,000
Operating Income -33,020,000 -23,463,000 -3,634,000 -13,203,000
Interest Expense 412,000 404,000 289,000 341,000
Income Before Tax -27,499,000 -29,778,000 -11,662,000 -21,495,000
Income Tax Expense -447,000 434,000 -1,428,000 -1,337,000
Net Income -27,052,000 -30,212,000 -10,234,000 -20,158,000
Per Share
EPS -0.06 -0.07 -0.02 -0.05
EPS Diluted 0.00 0.00 0.00 0.00
Income Statement (Annual) 2025-07-31 2024-07-31 2023-07-31 2022-07-31
Revenue 66,837,000 224,000 164,389,000 23,161,000
Cost of Revenue 42,360,000 187,000 133,339,000 27,401,000
Gross Profit 24,477,000 37,000 31,050,000 -4,240,000
Operating Expenses
R&D Expenses 0 0 0 0
SG&A Expenses 27,360,000 22,024,000 20,064,000 -3,633,000
Operating Expenses 97,798,000 56,439,000 22,071,000 -3,633,000
Operating Income -73,321,000 -56,402,000 8,867,000 -607,000
Interest Expense 1,446,000 827,000 805,000 1,519,000
Income Before Tax -90,435,000 -34,255,000 -2,437,000 5,247,000
Income Tax Expense -2,779,000 -5,034,000 870,000 -5,000
Net Income -87,656,000 -29,221,000 -3,307,000 5,252,000
Per Share
EPS -0.20 -0.07 -0.01 0.02
EPS Diluted 0.00 0.00 0.00 0.00
Balance Sheet (Quarterly) 2025-07-31 2024-07-31 2023-07-31 2022-07-31
Assets
Cash and Cash Equivalents 148,930,000 87,533,000 45,614,000 32,536,000
Short Term Investments 0 68,731,000 0 0
Net Receivables 5,807,000 0 0 1
Inventory 79,279,000 75,833,000 6,207,000 66,569,999
Total Current Assets 234,016,000 235,244,000 55,205,000 102,191,000
Property Plant Equipment 777,164,000 578,048,000 585,288,000 202,182,000
Goodwill and Intangibles 0 0 0 0
Total Assets 1,107,653,000 889,828,000 737,589,000 354,247,000
Liabilities
Account Payables 10,585,000 15,863,000 5,576,000 2,019,000
Short Term Debt 1,010,999 1,126,000 0 244,000
Total Current Liabilities 26,433,000 29,222,000 12,194,000 8,498,000
Long Term Debt 0 0 0 0
Total Liabilities 123,753,000 111,715,000 105,762,000 27,338,000
Shareholders Equity
Retained Earnings -406,557,000 -318,901,000 -289,680,000 -286,373,000
Total Shareholders Equity 983,900,000 778,113,000 631,827,000 326,909,000
Balance Sheet (Annual) 2025-07-31 2024-07-31 2023-07-31 2022-07-31
Assets
Cash and Cash Equivalents 148,930,000 87,533,000 45,614,000 32,536,000
Short Term Investments 0 68,731,000 0 0
Net Receivables 5,807,000 0 0 1
Inventory 79,279,000 75,833,000 6,207,000 66,569,999
Total Current Assets 234,016,000 235,244,000 55,205,000 102,191,000
Property Plant Equipment 777,164,000 578,048,000 585,288,000 202,182,000
Goodwill and Intangibles 0 0 0 0
Total Assets 1,107,653,000 889,828,000 737,589,000 354,247,000
Liabilities
Account Payables 10,585,000 15,863,000 5,576,000 2,019,000
Short Term Debt 1,010,999 1,126,000 0 244,000
Total Current Liabilities 26,433,000 29,222,000 12,194,000 8,498,000
Long Term Debt 0 0 0 0
Total Liabilities 123,753,000 111,715,000 105,762,000 27,338,000
Shareholders Equity
Retained Earnings -406,557,000 -318,901,000 -289,680,000 -286,373,000
Total Shareholders Equity 983,900,000 778,113,000 631,827,000 326,909,000
Cash Flow Statement (Quarterly) 2025-07-31 2024-07-31 2023-07-31 2022-07-31
Operating Activities
Net Income -87,656,000 -29,221,000 -3,307,000 5,252,000
Depreciation & Amortization 4,486,000 2,183,000 2,007,000 1,379,000
Stock Based Compensation 6,015,000 5,172,000 5,523,000 4,681,000
Change in Working Capital -4,319,000 -59,318,000 57,034,000 -35,495,000
Operating Cash Flow -64,458,000 -106,487,000 72,573,000 -52,987,000
Investing Activities
Capital Expenditure -5,695,000 -3,428,000 -656,000 -1,210,000
Investments -5,695,000 -3,428,000 -656,000 -1,210,000
Investing Cash Flow -157,029,000 -24,641,000 -124,780,000 -110,843,000
Financing Activities
Debt Repayment 0 0 -66,000 -10,191,000
Common Stock Issued/Repurchased 287,513,000 176,708,000 66,527,000 166,900,000
Dividends Paid 0 0 0 -156,709,000
Financing Cash Flow 284,839,000 173,076,000 65,417,000 157,266,000
Summary
Free Cash Flow -70,153,000 -109,915,000 71,917,000 -54,197,000
Net Change in Cash 63,353,000 41,919,000 13,078,000 -11,776,780
Cash Flow Statement (Annual) 2025-07-31 2024-07-31 2023-07-31 2022-07-31
Operating Activities
Net Income -87,656,000 -29,221,000 -3,307,000 5,252,000
Depreciation & Amortization 4,486,000 2,183,000 2,007,000 1,379,000
Stock Based Compensation 6,015,000 5,172,000 5,523,000 4,681,000
Change in Working Capital -4,319,000 -59,318,000 57,034,000 -35,495,000
Operating Cash Flow -64,458,000 -106,487,000 72,573,000 -52,987,000
Investing Activities
Capital Expenditure -5,695,000 -3,428,000 -656,000 -1,210,000
Investments -5,695,000 -3,428,000 -656,000 -1,210,000
Investing Cash Flow -157,029,000 -24,641,000 -124,780,000 -110,843,000
Financing Activities
Debt Repayment 0 0 -66,000 -10,191,000
Common Stock Issued/Repurchased 287,513,000 176,708,000 66,527,000 166,900,000
Dividends Paid 0 0 0 -156,709,000
Financing Cash Flow 284,839,000 173,076,000 65,417,000 157,266,000
Summary
Free Cash Flow -70,153,000 -109,915,000 71,917,000 -54,197,000
Net Change in Cash 63,353,000 41,919,000 13,078,000 -11,776,780