Upexi Inc
UPXI
$3.50 -8.85%
Exchange: NASDAQ | Sector: Communication Services | Industry: Internet Content Information
Q1 2025
Published: Dec 19, 2024

Earnings Highlights

  • Revenue of $4.36M down 47.4% year-over-year
  • EPS of $-1.55 decreased by 15.7% from previous year
  • Gross margin of 67.3%
  • Net income of -1.63M
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Upexi Inc (UPXI) QQ1 2025 earnings analysis: Revenue stabilization but continued profitability and liquidity challenges in Internet Content / Information within Communications Services

Executive Summary

Upexi Inc reported Q1 2025 results (calendar quarter ended 2024-09-30) showing a material YoY Revenue decline but a meaningful QoQ rebound in top-line and related margins. Revenue was 4.36 million, down 47.3% year over year, while gross profit of 2.93 million produced a solid gross margin of 67.3%. However, the company remained EBITDA negative at -1.08 million and net income negative at -1.63 million, translating to an EPS of -1.55. The quarter also reflects meaningful cash burn, with operating cash flow of -1.97 million and free cash flow of -2.14 million. Balance-sheet liquidity remains tight, with current ratio 0.70, cash and equivalents of 1.79 million, and total debt of 10.68 million against 5.03 million in equity, yielding a net debt position of approximately 8.89 million. Management commentary is not available in the provided transcript dataset, limiting qualitative insight into strategic adjustments during the quarter. From a momentum perspective, the QoQ revenue jump (as per the supplied QoQ metric of +112.97%) suggests a potential stabilization after the prior year’s weakness, but profitability remains a key challenge. The company’s gross margin sits in a respectable 67% range for a low-margin consumer/health/wellness product mix, indicating that cost of revenue control and SG&A discipline could unlock improved operating leverage if demand sustains. The lack of positive free cash flow and loud balance-sheet leverage will be the dominant investor concerns in the near term, unless the company demonstrates a clear path to sustained cash profitability or debt reduction.

Key Performance Indicators

Revenue

4.36M
QoQ: 112.97% | YoY:-47.35%

Gross Profit

2.93M
67.26% margin
QoQ: 141.63% | YoY:-46.03%

Operating Income

-1.34M
QoQ: 90.85% | YoY:-16.90%

Net Income

-1.63M
QoQ: 89.68% | YoY:-19.93%

EPS

-1.55
QoQ: 89.89% | YoY:-15.67%

Revenue Trend

Margin Analysis

Key Insights

Revenue: 4,356,515 (USD) | YoY: -47.35% | QoQ: +112.97% Gross Profit: 2,930,068 | Gross Margin: 0.6726 Operating Income: -1,335,165 | Operating Margin: -0.3065 EBITDA: -1,076,070 | EBITDA Margin: -0.2470 Net Income: -1,625,577 | Net Margin: -0.3731 EPS: -1.55 | Diluted EPS: -1.55 | Weighted Avg Shares: 1,045,429 Cash Flow: Operating cash flow -1,974,592; Free cash flow -2,142,002 Capital Expenditures: -167,408 Cash & Equivalents: 1,790,391 Total Assets: 18,603,028; Total Liabilities: 13,571,...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 3.16 -2.87 -78.1% View
Q2 2025 4.01 -1.24 -77.5% View
Q1 2025 4.36 -1.55 -47.4% View
Q4 2024 -33.59 -15.33 -288.5% View
Q3 2024 14.44 -3.97 -40.4% View