Laredo Oil Inc
LRDC
$0.340 9.68%
Exchange: OTC | Sector: Energy | Industry: Oil Gas Exploration Production
Q4 2024
Published: Oct 2, 2024

Earnings Highlights

  • Revenue of $0.02M up 0% year-over-year
  • EPS of $-0.01 increased by 11.8% from previous year
  • Gross margin of 183.8%
  • Net income of -726.34K
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Laredo Oil Inc (LRDC) QQ4 2024 Results Analysis โ€” Energy Sector Focus on Maturity-Field EOR, Leverage and Liquidity

Executive Summary

Laredo Oilโ€™s QQ4 2024 results show a bifurcated picture. On the top line, reported revenue showed QoQ strength with an 87.2% sequential increase, supported by an outsized gross profit figure relative to revenue in the reported data. The company posted a gross profit of 43,712 and a gross margin of approximately 183.8%, but this appears inconsistent with the cost of revenue and revenue figures, suggesting possible data formatting or classification issues that warrant clarification. Despite the revenue upturn, operating performance remained weak, as indicated by an operating loss of 715,897 (-30.10% operating margin) and a net loss of 726,335 (-30.54% net margin), with EBITDA deeply negative at -514,898. Interest expense was material at 210,495, contributing to the (-) bottom line. Net income per share stood at -0.0105 (diluted). The company posted negative operating cash flow (-149,381) and a modest free cash flow of 15,495, while capital expenditures ran at 164,876. Balance-sheet signals are cautiously negative: cash at period-end was 1,271,126 (in thousands? per data) and total debt stood at 3,212,828 with net debt of 3,085,702; equity remains negative (-11,186,127), underscoring a leveraged, high-risk capital structure. Liquidity metrics are weak (current ratio 0.156, quick ratio 0.012, cash ratio 0.0098). The company did achieve a positive cash change for the period driven by financing activity, but the underling cash burn from operations suggests near-term liquidity pressure absent ongoing funding or balance-sheet optimization. Going forward, the most consequential factors are managementโ€™s ability to improve operating leverage, manage costs, and stabilize working capital, alongside commodity price volatility and the ability to refinance or deleverage over the medium term.

Key Performance Indicators

Revenue

23.78K
QoQ: 87.24% | YoY:N/A

Gross Profit

43.71K
1.84% margin
QoQ: 621.56% | YoY:1 316.93%

Operating Income

-715.90K
QoQ: -30.08% | YoY:-14.09%

Net Income

-726.34K
QoQ: -115.91% | YoY:7.90%

EPS

-0.01
QoQ: -123.40% | YoY:11.76%

Revenue Trend

Margin Analysis

Key Insights

Revenue: 23781; QoQ change: 87.24% (YoY not available). Gross Profit: 43712; YoY: 1,316.93%; QoQ: 621.56%. Operating Income: -715897; YoY: -14.09%; QoQ: -30.08%. Net Income: -726335; YoY: 7.90%; QoQ: -115.91%. EPS: -0.0105; YoY: 11.76%; QoQ: -123.40%. EBITDA: -514898; EBITDA Margin: -21.65%. EBITDARatio: -21.65%; Operating Income Margin: -30.10%; Net Income Margin: -30.54%. Cash from Operating Activities: -149381; Free Cash Flow: 15495. Balance Sheet: Total Assets 2,804,638; Total Liabilities 13...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 0.00 -0.01 -86.3% View
Q2 2025 0.00 -0.01 +0.0% View
Q1 2025 0.01 -0.01 +0.0% View
Q4 2024 0.02 -0.01 +0.0% View
Q3 2024 0.01 0.00 +0.0% View