Reported Q: Q1 2025 Rev YoY: -69.9% EPS YoY: -500.0% Move: 0.00%
FutureFuel Corp
FF
$3.94 0.00%
Exchange NYSE Sector Basic Materials Industry Chemicals
Q1 2025
Published: May 12, 2025

Company Status Snapshot

Fast view of the latest quarter outcome for FF

Reported

Report Date

May 12, 2025

Quarter Q1 2025

Revenue

17.54M

YoY: -69.9%

EPS

-0.40

YoY: -500.0%

Market Move

0.00%

Previous quarter: Q4 2024

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Earnings Highlights

  • Revenue of $17.54M down 69.9% year-over-year
  • EPS of $-0.40 decreased by 500% from previous year
  • Gross margin of -83.0%
  • Net income of -17.64M
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FF
Company FF

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Executive Summary

FutureFuel Corp reported a materially unprofitable Q1 2025, reflecting severe margin compression as revenue fell sharply while cost of revenue remained elevated. The company posted revenue of $17.54 million against cost of revenue of $32.10 million, producing a gross loss of $14.56 million and an EBITDA loss of $15.27 million. Operating income was negative $18.88 million, and net income came in at negative $17.64 million or -$0.40 per share on 43.80 million weighted average shares. YoY revenue declined 69.9% and QoQ revenue declined 71.5%, with analogous deterioration in gross margin (gross margin of -83.0%) and net margin (-1.01%). The quarter also featured negative operating leverage, as$18.8 million in operating losses could not be offset by other income to produce a meaningful improvement in net results.

Despite the profitability headwinds, the balance sheet remains exceptionally liquid with cash and cash equivalents of $97.1 million and no drawn debt, yielding a net cash position of approximately $97.1 million. Total assets stood at $227.7 million against total liabilities of $39.3 million, with stockholders’ equity of $188.4 million, and a robust current ratio of 4.70 and quick ratio of 3.82, underscoring significant liquidity runway for strategic initiatives or capacity adjustments.

From an investment perspective, the primary near-term question is whether FutureFuel can restore gross margin through cost reductions, pricing actions, or product mix shifts, while maintaining liquidity for selective capex and working-capital management. Absent explicit management forward guidance in the data provided, investors should monitor signs of margin stabilization, potential restructuring efforts, and any strategic updates related to its two-segment Chemicals and Biofuels business. The company’s current valuation metrics (e.g., P/S around 9.7x, P/B ~0.9x, enterprise value near zero with substantial cash) imply a cash-backed option on a potential turnaround, contingent on meaningful improvements in profitability and cash generation.

Key Performance Indicators

Revenue
Decreasing
17.54M
QoQ: -71.49% | YoY: -69.91%
Gross Profit
Decreasing
-14.56M
-83.04% margin
QoQ: -360.19% | YoY: -390.85%
Operating Income
Decreasing
-18.84M
QoQ: -1 269.34% | YoY: -957.05%
Net Income
Decreasing
-17.64M
QoQ: -730.78% | YoY: -507.46%
EPS
Decreasing
-0.40
QoQ: -725.98% | YoY: -500.00%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2025 17.54 -0.40 -69.9% View
Q4 2024 61.51 0.06 -33.2% View
Q3 2024 51.14 -0.03 -56.2% View
Q2 2024 72.41 0.22 -15.1% View
Q1 2024 58.28 0.10 -21.4% View