CKX LANDS, INC. (CKX)

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CIK 0000352955 · NYSE · Crude Petroleum & Natural Gas

  • Sector Mining
  • Incorporated LA
  • Fiscal year ends Dec 31

In fiscal 2025, CKX LANDS, INC. reported revenue of $838.5K, down 44.9% from the prior year. The company was profitable, with a net margin of 359.0%. It held $22.29M in total assets against $840.4K in total liabilities.

Key ratios (FY2025)

434.2%
Operating margin
359.0%
Net margin
14.0%
Return on equity
-44.9%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$838.5K$1.52M$1.49M$1.11M$744.5K$671.9K$811.3K$1.19M$1.14M$863.4K
Operating Income$3.64M$117.0K$121.8K-$1.84M$1.06M$379.1K$191.6K$1.37M$541.1K$187.4K
Net Income$3.01M$250.2K$143.0K-$1.32M$819.3K$339.4K$249.9K$1.12M$522.9K$170.7K
EPS (Diluted)$1.47$0.12$0.07$-0.67$0.42$0.13$0.57$0.27$0.09
Total Assets$22.29M$18.85M$18.81M$17.69M$17.06M$16.32M$15.86M$15.60M$14.72M$14.42M
Total Liabilities$840.4K$264.2K$495.3K$267.2K$448.9K$529.9K$415.1K$404.5K$408.2K$431.4K
Shareholders' Equity$21.45M$18.58M$18.32M$17.42M$16.61M$15.79M$15.45M$15.20M$14.32M$13.99M
Cash & Equivalents$7.41M$6.46M$1.65M$1.08M
Operating Cash Flow$459.6K$204.8K$877.0K$413.7K-$263.7K$140.2K$194.7K$241.6K$404.3K$280.8K
Capital Expenditures$55.4K$155.3K$14.0K
Shares Outstanding2.05M2.03M1.99M1.97M1.94M1.94M1.94M1.94M1.94M1.94M
Dividends Per Share$0.12$0.10