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UUUU Energy Fuels

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  • 4.020
  • -0.420-9.46%
Close Feb 27 16:00 ET
  • 4.040
  • +0.020+0.50%
Post 17:03 ET
845.17MMarket Cap-14.36P/E (TTM)

Energy Fuels Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-185.37%-43.97M
-712.85%-35.99M
-3.49%-7.15M
-549.33%-9.68M
442.81%8.84M
69.00%-15.41M
78.14%-4.43M
14.60%-6.91M
86.22%-1.49M
75.55%-2.58M
Net income from continuing operations
-147.96%-47.84M
-64.14%-32.98M
-215.37%-12.08M
-31.40%-6.42M
-96.82%3.64M
266.42%99.76M
-12.25%-20.09M
213.14%10.47M
72.95%-4.89M
875.72%114.26M
Operating gains losses
97.80%-2.43M
-111.65%-1.05M
55.21%-873K
-8.81%-1M
100.42%490K
-4,410.96%-110.34M
5,658.02%9M
-106.46%-1.95M
64.17%-919K
-9,608.08%-116.47M
Depreciation and amortization
13.67%3.13M
55.16%1.13M
-80.00%141K
79.22%1.19M
1.98%668K
-15.85%2.75M
-1.76%727K
-17.06%705K
-23.33%664K
-19.43%655K
Other non cash items
-183.62%-1.07M
-284.94%-1.95M
168.07%324K
54.23%310K
-49.09%252K
-12.78%1.28M
271.83%1.06M
-175.20%-476K
1,335.71%201K
-6.95%495K
Change In working capital
-134.30%-1.17M
-136.72%-2.76M
231.16%4.31M
-206.47%-5.17M
143.22%2.45M
125.37%3.42M
198.24%7.52M
-233.56%-3.28M
186.19%4.85M
-112.29%-5.66M
-Change in receivables
-6,994.51%-16.81M
-229.97%-13.43M
165.51%5.37M
-943.70%-8.69M
96.10%-60K
-112.90%-237K
712.34%10.33M
-761.05%-8.2M
-226.79%-833K
-15.62%-1.54M
-Change in inventory
13,138.00%13.04M
157.36%6.26M
-175.70%-4.01M
-58.43%2.07M
1,520.63%8.72M
98.83%-100K
3.48%-10.91M
460.00%5.29M
397.70%4.98M
-31.38%538K
-Change in prepaid assets
-839.95%-3.13M
-160.65%-1.18M
-184.27%-506K
-414.78%-592K
31.06%-850K
104.76%423K
253.22%1.95M
82.55%-178K
97.99%-115K
-39.16%-1.23M
-Change in payables and accrued expense
-216.03%-3.26M
-143.22%-2.05M
228.53%1.12M
198.68%2.49M
-55.32%-4.82M
67.98%2.81M
40.37%4.74M
-73.52%340K
144.80%835K
-176.40%-3.1M
-Change in other current assets
1,596.04%8.99M
443.99%7.64M
531.67%2.33M
-4,350.00%-445K
-66.15%-540K
16.23%530K
410.91%1.41M
-6,100.00%-540K
-103.53%-10K
-192.79%-325K
Cash from discontinued investing activities
Operating cash flow
-185.37%-43.97M
-712.85%-35.99M
-3.49%-7.15M
-549.33%-9.68M
442.81%8.84M
69.00%-15.41M
78.14%-4.43M
14.60%-6.91M
86.22%-1.49M
75.55%-2.58M
Investing cash flow
Cash flow from continuing investing activities
44.25%-13.3M
-21.93%-9.71M
229.64%31.37M
-214.30%-20.13M
21.99%-14.82M
-237.62%-23.85M
-241.98%-7.96M
1,888.53%9.52M
45.45%-6.41M
-4,674.37%-19M
Net PPE purchase and sale
34.28%-29.38M
72.18%-2.48M
-19.49%-5.86M
-127.51%-13.79M
70.77%-7.26M
-2,139.98%-44.71M
-1,073.91%-8.91M
-821.80%-4.9M
-1,873.62%-6.06M
-6,140.45%-24.84M
Net intangibles purchase and sale
---1.64M
--0
----
----
----
--0
--0
----
----
----
Net business purchase and sale
---16.83M
----
----
----
----
--0
----
----
----
----
Net investment purchase and sale
135.58%34.48M
115.91%9.54M
169.74%38.86M
-84.21%-6.35M
84.21%-7.57M
-1,682.98%-96.91M
-1,099.00%-59.94M
--14.41M
69.86%-3.45M
---47.92M
Net other investing changes
-99.94%74K
-99.89%64K
-42.86%8K
----
----
32,075.41%117.76M
--60.89M
--14K
--3.1M
--53.76M
Cash from discontinued investing activities
Investing cash flow
44.25%-13.3M
-21.93%-9.71M
229.64%31.37M
-214.30%-20.13M
21.99%-14.82M
-237.62%-23.85M
-241.98%-7.96M
1,888.53%9.52M
45.45%-6.41M
-4,674.37%-19M
Financing cash flow
Cash flow from continuing financing activities
-48.75%15.59M
-21.77%12.03M
-99.98%3K
109.89%53K
513.95%3.5M
286.47%30.42M
3,678.13%15.38M
21,224.68%16.42M
-114.12%-536K
-123.57%-846K
Net common stock issuance
-47.76%16.62M
-24.96%11.83M
--0
--0
--4.79M
303.41%31.81M
--15.77M
--16.05M
--0
--0
Proceeds from stock option exercised by employees
-63.20%357K
-7.04%198K
-99.20%3K
-83.01%53K
43.06%103K
28.82%970K
-24.20%213K
384.42%373K
305.19%312K
-77.36%72K
Net other financing activities
41.34%-1.39M
--0
--0
--0
-51.31%-1.39M
-207.93%-2.37M
-577.78%-602K
--0
-28,166.67%-848K
-2.91%-918K
Cash from discontinued financing activities
Financing cash flow
-48.75%15.59M
-21.77%12.03M
-99.98%3K
109.89%53K
513.95%3.5M
286.47%30.42M
3,678.13%15.38M
21,224.68%16.42M
-114.12%-536K
-123.57%-846K
Net cash flow
Beginning cash position
-6.53%75.02M
-7.38%66.74M
-19.85%42.52M
18.19%72.5M
-6.53%75.02M
-39.57%80.27M
-26.53%72.06M
-50.28%53.05M
-51.12%61.34M
-39.57%80.27M
Current changes in cash
-371.15%-41.68M
-1,226.23%-33.66M
27.29%24.21M
-252.90%-29.75M
88.94%-2.48M
81.91%-8.85M
121.00%2.99M
322.48%19.02M
55.05%-8.43M
-204.88%-22.43M
Effect of exchange rate changes
-14,616.67%-1.74M
-6,933.33%-1.48M
141.18%7K
-907.14%-226K
-309.09%-46K
118.18%12K
-216.67%-21K
73.02%-17K
170.00%28K
15.79%22K
End cash Position
-21.88%58.61M
-21.88%58.61M
-7.38%66.74M
-19.85%42.52M
18.19%72.5M
-6.53%75.02M
-6.53%75.02M
-26.53%72.06M
-50.28%53.05M
-51.12%61.34M
Free cash flow
-24.74%-75M
-188.40%-38.46M
-24.00%-14.65M
-210.77%-23.46M
105.77%1.58M
-16.29%-60.12M
36.51%-13.34M
-36.98%-11.82M
32.09%-7.55M
-150.47%-27.42M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
Unqualified Opinion
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--
Unqualified Opinion
--
--
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(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -185.37%-43.97M-712.85%-35.99M-3.49%-7.15M-549.33%-9.68M442.81%8.84M69.00%-15.41M78.14%-4.43M14.60%-6.91M86.22%-1.49M75.55%-2.58M
Net income from continuing operations -147.96%-47.84M-64.14%-32.98M-215.37%-12.08M-31.40%-6.42M-96.82%3.64M266.42%99.76M-12.25%-20.09M213.14%10.47M72.95%-4.89M875.72%114.26M
Operating gains losses 97.80%-2.43M-111.65%-1.05M55.21%-873K-8.81%-1M100.42%490K-4,410.96%-110.34M5,658.02%9M-106.46%-1.95M64.17%-919K-9,608.08%-116.47M
Depreciation and amortization 13.67%3.13M55.16%1.13M-80.00%141K79.22%1.19M1.98%668K-15.85%2.75M-1.76%727K-17.06%705K-23.33%664K-19.43%655K
Other non cash items -183.62%-1.07M-284.94%-1.95M168.07%324K54.23%310K-49.09%252K-12.78%1.28M271.83%1.06M-175.20%-476K1,335.71%201K-6.95%495K
Change In working capital -134.30%-1.17M-136.72%-2.76M231.16%4.31M-206.47%-5.17M143.22%2.45M125.37%3.42M198.24%7.52M-233.56%-3.28M186.19%4.85M-112.29%-5.66M
-Change in receivables -6,994.51%-16.81M-229.97%-13.43M165.51%5.37M-943.70%-8.69M96.10%-60K-112.90%-237K712.34%10.33M-761.05%-8.2M-226.79%-833K-15.62%-1.54M
-Change in inventory 13,138.00%13.04M157.36%6.26M-175.70%-4.01M-58.43%2.07M1,520.63%8.72M98.83%-100K3.48%-10.91M460.00%5.29M397.70%4.98M-31.38%538K
-Change in prepaid assets -839.95%-3.13M-160.65%-1.18M-184.27%-506K-414.78%-592K31.06%-850K104.76%423K253.22%1.95M82.55%-178K97.99%-115K-39.16%-1.23M
-Change in payables and accrued expense -216.03%-3.26M-143.22%-2.05M228.53%1.12M198.68%2.49M-55.32%-4.82M67.98%2.81M40.37%4.74M-73.52%340K144.80%835K-176.40%-3.1M
-Change in other current assets 1,596.04%8.99M443.99%7.64M531.67%2.33M-4,350.00%-445K-66.15%-540K16.23%530K410.91%1.41M-6,100.00%-540K-103.53%-10K-192.79%-325K
Cash from discontinued investing activities
Operating cash flow -185.37%-43.97M-712.85%-35.99M-3.49%-7.15M-549.33%-9.68M442.81%8.84M69.00%-15.41M78.14%-4.43M14.60%-6.91M86.22%-1.49M75.55%-2.58M
Investing cash flow
Cash flow from continuing investing activities 44.25%-13.3M-21.93%-9.71M229.64%31.37M-214.30%-20.13M21.99%-14.82M-237.62%-23.85M-241.98%-7.96M1,888.53%9.52M45.45%-6.41M-4,674.37%-19M
Net PPE purchase and sale 34.28%-29.38M72.18%-2.48M-19.49%-5.86M-127.51%-13.79M70.77%-7.26M-2,139.98%-44.71M-1,073.91%-8.91M-821.80%-4.9M-1,873.62%-6.06M-6,140.45%-24.84M
Net intangibles purchase and sale ---1.64M--0--------------0--0------------
Net business purchase and sale ---16.83M------------------0----------------
Net investment purchase and sale 135.58%34.48M115.91%9.54M169.74%38.86M-84.21%-6.35M84.21%-7.57M-1,682.98%-96.91M-1,099.00%-59.94M--14.41M69.86%-3.45M---47.92M
Net other investing changes -99.94%74K-99.89%64K-42.86%8K--------32,075.41%117.76M--60.89M--14K--3.1M--53.76M
Cash from discontinued investing activities
Investing cash flow 44.25%-13.3M-21.93%-9.71M229.64%31.37M-214.30%-20.13M21.99%-14.82M-237.62%-23.85M-241.98%-7.96M1,888.53%9.52M45.45%-6.41M-4,674.37%-19M
Financing cash flow
Cash flow from continuing financing activities -48.75%15.59M-21.77%12.03M-99.98%3K109.89%53K513.95%3.5M286.47%30.42M3,678.13%15.38M21,224.68%16.42M-114.12%-536K-123.57%-846K
Net common stock issuance -47.76%16.62M-24.96%11.83M--0--0--4.79M303.41%31.81M--15.77M--16.05M--0--0
Proceeds from stock option exercised by employees -63.20%357K-7.04%198K-99.20%3K-83.01%53K43.06%103K28.82%970K-24.20%213K384.42%373K305.19%312K-77.36%72K
Net other financing activities 41.34%-1.39M--0--0--0-51.31%-1.39M-207.93%-2.37M-577.78%-602K--0-28,166.67%-848K-2.91%-918K
Cash from discontinued financing activities
Financing cash flow -48.75%15.59M-21.77%12.03M-99.98%3K109.89%53K513.95%3.5M286.47%30.42M3,678.13%15.38M21,224.68%16.42M-114.12%-536K-123.57%-846K
Net cash flow
Beginning cash position -6.53%75.02M-7.38%66.74M-19.85%42.52M18.19%72.5M-6.53%75.02M-39.57%80.27M-26.53%72.06M-50.28%53.05M-51.12%61.34M-39.57%80.27M
Current changes in cash -371.15%-41.68M-1,226.23%-33.66M27.29%24.21M-252.90%-29.75M88.94%-2.48M81.91%-8.85M121.00%2.99M322.48%19.02M55.05%-8.43M-204.88%-22.43M
Effect of exchange rate changes -14,616.67%-1.74M-6,933.33%-1.48M141.18%7K-907.14%-226K-309.09%-46K118.18%12K-216.67%-21K73.02%-17K170.00%28K15.79%22K
End cash Position -21.88%58.61M-21.88%58.61M-7.38%66.74M-19.85%42.52M18.19%72.5M-6.53%75.02M-6.53%75.02M-26.53%72.06M-50.28%53.05M-51.12%61.34M
Free cash flow -24.74%-75M-188.40%-38.46M-24.00%-14.65M-210.77%-23.46M105.77%1.58M-16.29%-60.12M36.51%-13.34M-36.98%-11.82M32.09%-7.55M-150.47%-27.42M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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