SHENGFENG DEVELOPMENT Ltd (SFWL)

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CIK 0001863218 · Nasdaq · Trucking & Courier Services (No Air)

  • Sector Transportation & Utilities
  • Incorporated E9
  • Fiscal year ends Dec 31

In fiscal 2025, SHENGFENG DEVELOPMENT Ltd reported revenue of $572.48M, up 13.6% from the prior year. The company was profitable, with a net margin of 2.1% and a gross margin of 9.3%. It held $346.97M in total assets against $208.10M in total liabilities.

Key ratios (FY2025)

9.3%
Gross margin
2.9%
Operating margin
2.1%
Net margin
8.8%
Return on equity
+13.6%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019
Revenue$572.48M$504.16M$404.12M$370.32M$346.70M$287.46M
Cost of Revenue$519.39M$457.87M$357.62M$328.79M$305.35M$251.49M
Gross Profit$53.09M$46.28M$46.51M$41.53M$41.34M$35.98M
Operating Income$16.88M$14.67M$13.91M$9.85M$8.59M$6.20M
Net Income$12.21M$10.83M$10.31M$7.83M$6.64M$6.04M
EPS (Diluted)$0.13$0.10$0.09$0.08
Total Assets$346.97M$310.13M$265.84M$245.26M$244.21M
Total Liabilities$208.10M$186.68M$153.53M$150.17M$148.31M
Shareholders' Equity$138.86M$123.45M$112.31M$95.09M$95.90M$84.38M$72.71M
Cash & Equivalents$35.29M$34.67M$26.73M$21.29M
Operating Cash Flow$16.10M$15.01M$14.13M$4.81M$20.39M$2.33M
Capital Expenditures$18.98M$29.46M$10.78M$6.91M$22.58M$7.92M
Shares Outstanding81.81M80.00M80.00M80.00M