NORDIC AMERICAN TANKERS Ltd (NAT)

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CIK 0001000177 · NYSE · Water Transportation

  • Sector Transportation & Utilities
  • Fiscal year ends Dec 31

In fiscal 2025, NORDIC AMERICAN TANKERS Ltd reported revenue of $291.69M, down 16.6% from the prior year. The company was profitable, with a net margin of 4.2%.

Key ratios (FY2025)

15.9%
Operating margin
4.2%
Net margin
2.8%
Return on equity
-16.6%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$291.69M$349.74M$391.69M$339.34M$191.07M$354.62M$317.22M$289.02M$297.14M$357.45M
Cost of Revenue$109.88M$124.65M$129.51M$170.51M$128.26M$121.09M$141.77M$165.01M$142.47M$125.99M
Operating Income$46.34M$77.31M$127.89M$41.87M-$144.46M$81.23M$31.97M-$38.62M-$175.69M$53.34M
Net Income$12.27M$46.64M$98.71M$15.10M-$171.33M$50.03M-$10.35M-$95.31M-$204.97M-$4.46M
EPS (Diluted)$0.06$0.22$0.47$0.07$-1.05$0.34$-0.07$-0.67$-1.97$-0.05
Total Assets$902.16M$817.59M$879.20M$879.88M$851.15M$974.35M$1.03B$1.07B$1.14B$1.35B
Shareholders' Equity$445.52M$508.81M$538.30M$539.98M$498.22M$599.13M$595.42M$602.03M$711.06M$871.05M
Cash & Equivalents$45.86M$39.18M$31.08M$59.58M$34.74M$57.85M$48.85M$49.33M$58.36M$82.17M
Operating Cash Flow$19.82M$128.16M$139.44M$24.13M-$44.46M$110.94M$52.86M-$16.10M$31.74M$127.79M
Shares Outstanding211.75M209.90M208.81M202.03M162.55M149.29M142.57M141.97M103.83M92.53M
Dividends Per Share$0.36$0.40