FutureFuel Corp

FutureFuel Corp(FF)股票分析

$5.340

+0.154 (+2.89%)收盤時

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High
5.420
Open
5.230
VWAP
5.30
Vol
768.00K
Mkt Cap
224.94M
Low
5.150
Amount
4.07M
EV/EBITDA, TTM
0.00

FutureFuel Corp. is a manufacturer of diversified chemical products and biofuels. The Company operates in two segments: chemicals and biofuels. The chemicals segment manufactures specialty chemicals for specific customers (custom chemicals) as well as multi-customer specialty chemicals (performance chemicals). Its custom manufacturing product portfolio includes agrochemicals, adhesion promoters, a biocide intermediate, and an antioxidant precursor. Its performance chemicals products include a portfolio of nylon and polyester polymer modifiers and several small-volume specialty chemicals and solvents for diverse applications. Its biofuels segment primarily produces and sells biodiesel to its customers. In addition, it sells petrodiesel in blends with its biodiesel and with no biodiesel added. It offers B100 and biodiesel blended with petrodiesel (B2, B5, B10, B20, B50, and B99 blends) at its Batesville facility and at a short-term leased storage facility in Little Rock, Arkansas.

AI analysis of FutureFuel Corp (FF)

buy

FutureFuel Corp is a good buy right now due to its recent earnings report showing an EPS of 0.25, which is a significant improvement from previous losses, and a gross margin of 19.08% in Q2 2026, indicating a strong recovery in profitability. The stock's current price of 5.34 is also below its Fibonacci resistance level of 5.499, suggesting potential for upward movement. However, the main risk is its negative P/E ratio of -7.45, which indicates past profitability issues that investors should consider.

估值指標

The current forward P/E ratio for FutureFuel Corp (FF) is 16.34, compared to its 5-year average forward P/E of 8.72.

Forward P/E

Strongly Overvalued
5Y Average P/E
8.72
Current P/E
16.34
高估
11.98
低估
5.46

Forward EV/EBITDA

Undervalued
5Y Average EV/EBITDA
2.26
Current EV/EBITDA
0.00
高估
3.41
低估
1.11

Forward P/S

Strongly Undervalued
5Y Average P/S
1.01
Current P/S
0.00
高估
1.29
低估
0.73

Whales holding FF

K

Konwave AG (Gold 2000)

+ HoldingFF

+1.91%

3M Return

事件時間軸

2026-07-01 (ET)

16:30:00

FutureFuel Finalizes Sale of 2025 Clean Fuel Tax Credits, Generates Approximately $3M

2026-03-31 (ET)

09:11:00

FutureFuel Reaffirms $25M Share Buyback Authorization

09:11:00

FutureFuel Cuts Quarterly Dividend to 1 Cent per Share

2026-03-16 (ET)

16:30:00

FutureFuel Q4 Revenue $19.84M, Down Year-over-Year

2025-12-26 (ET)

12:10:00

FireFly Aerospace Shares Down 10.4% to $24.23

資訊

FF FAQ — answered by Alphio AI

FutureFuel Corp. is a manufacturer of diversified chemical products and biofuels. The Company operates in two segments: chemicals and biofuels. The chemicals segment manufactures specialty chemicals for specific customers (custom chemicals) as well as multi-customer specialty chemicals (performance chemicals). Its custom manufacturing product portfolio includes agrochemicals, adhesion promoters, a biocide intermediate, and an antioxidant precursor. Its performance chemicals products include a portfolio of nylon and polyester polymer modifiers and several small-volume specialty chemicals and solvents for diverse applications. Its biofuels segment primarily produces and sells biodiesel to its customers. In addition, it sells petrodiesel in blends with its biodiesel and with no biodiesel added. It offers B100 and biodiesel blended with petrodiesel (B2, B5, B10, B20, B50, and B99 blends) at its Batesville facility and at a short-term leased storage facility in Little Rock, Arkansas. It operates in the Energy sector (INDUSTRIAL ORGANIC CHEMICALS industry).

FutureFuel Corp is a good buy right now due to its recent earnings report showing an EPS of 0.25, which is a significant improvement from previous losses, and a gross margin of 19.08% in Q2 2026, indicating a strong recovery in profitability. The stock's current price of 5.34 is also below its Fibonacci resistance level of 5.499, suggesting potential for upward movement. However, the main risk is its negative P/E ratio of -7.45, which indicates past profitability issues that investors should consider.

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