Netcapital Inc
NCPLW
$0.0252 0.40%
Exchange: NASDAQ | Sector: Financial Services | Industry: Financial Capital Markets
Q4 2024
Published: Jul 29, 2024

Earnings Highlights

  • Revenue of $0.35M down 77.2% year-over-year
  • EPS of $-0.22 decreased by 234.4% from previous year
  • Gross margin of -159.6%
  • Net income of -2.61M
  • ""No transcript data available for QQ4 2024; management commentary not captured in the dataset."" - Transcripts

Netcapital Inc (NCPLW) QQ4 2024 Earnings Analysis – FinTech Funding Portal in a Growth-Transition Phase within Financial Capital Markets

Executive Summary

Netcapital Inc (NCPLW) reported a challenging QQ4 2024 with material top-line contraction and negative profitability. Revenue of $347,175 declined 77.16% year-over-year and 66.71% quarter-over-quarter, producing a negative gross profit of $-553,938 and an EBITDA of $-2,588,861. The company posted a net loss of $2,606,736 and basic EPS of $-0.22 for the quarter. Operating cash flow deteriorated to $-1,313,885, contributing to a cash balance of $863,182 at period-end and a negative free cash flow of $-1,313,885. This combination underscores a liquidity-sensitive position, with a current ratio of 0.335 and a net debt position of $1.556 million despite a substantial equity base of $37.94 million. From a balance sheet perspective, Netcapital carries modest near-term liabilities ($3.62 million total liabilities, including $2.42 million in total debt) against sizable non-cash assets: intangible assets amounting to $14.73 million and long-term investments aggregating $25.78 million. The resulting asset base supports a substantial equity cushion but elevated impairment and realization risk in the near term if the funding portal’s volumes fail to rebound. Management commentary is not captured in the provided transcript dataset, limiting direct quotes to anchor management tone. In sum, the QQ4 2024 results highlight a pivotal inflection risk: sustained funding portal demand and cost discipline are prerequisites for turning operating losses into sustainable profitability. Investors should monitor liquidity initiatives, platform adoption metrics, and any forward-looking guidance in subsequent filings or calls.

Key Performance Indicators

Revenue

347.18K
QoQ: -66.71% | YoY:-77.16%

Gross Profit

-553.94K
-1.60% margin
QoQ: -743.59% | YoY:-136.89%

Operating Income

-1.55M
QoQ: -25.60% | YoY:-106.84%

Net Income

-2.61M
QoQ: -17.02% | YoY:-430.20%

EPS

-0.22
QoQ: -15.79% | YoY:-234.35%

Revenue Trend

Margin Analysis

Key Insights

  • Gross Profit: -553,938; Gross Margin: -1.60% (negative due to cost of revenue surpassing revenue).
  • Operating Income: -1,549,300; Operating Margin: -4.46%.
  • Net Income: -2,606,736; Net Margin: -7.51%; EPS: -0.22.
  • EBITDA: -2,588,861; EBITDA Margin: -7.46%.
  • Cash Flow: Net cash from operating activities -1,313,885; Free cash flow -1,313,885; Cash at end of period 863,182; Cash burn pace implies a tight liquidity runway at current levels.

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 0.19 -1.27 -45.3% View
Q3 2025 0.15 -1.57 -85.4% View
Q2 2025 0.17 -2.34 -94.5% View
Q1 2025 0.14 -5.10 -93.0% View
Q4 2024 0.35 -0.22 -77.2% View