Symbols / NINE $8.58 +5.80% Nine Energy Service, Inc.

Energy • Oil & Gas Equipment & Services • United States • ASE
NINE Chart
About

Nine Energy Service, Inc. operates as an onshore completion services provider that targets unconventional oil and gas resource development in North American basins and internationally. The company provides cementing services, including blending high-grade cement and water with various solid and liquid additives to create a cement slurry that is pumped between the casing and the wellbore of the well. It also provides open hole and cemented completion tool products, such as liner hangers and accessories, fracture isolation packers, frac sleeves, stage one prep tools, casing flotation tools, specialty open hole float equipment, disk subs, composite cement retainers, and centralizers that provide pinpoint frac sleeve system technologies. In addition, the company offers wireline services consisting of plug-and-perf completions, which is a multistage well completion technique for cased-hole wells that consists of deploying perforating guns and isolation tools to a specified depth; and coiled tubing services, which perform wellbore intervention operations utilizing a continuous steel pipe that is transported to the wellsite wound on a large spool. The company was formerly known as NSC-Tripoint, Inc. and changed its name to Nine Energy Service, Inc. in October 2011. Nine Energy Service, Inc. was incorporated in 2011 and is headquartered in Houston, Texas.

Fundamentals
Scroll to Statements
Sector Energy Industry Oil & Gas Equipment & Se Market Cap 119.69M
Enterprise Value 715.45M Income -51.32M Sales 561.91M
Book/sh -2.65 Cash/sh 0.43 Dividend Yield
Payout 0.00% Employees IPO
P/E Forward P/E -11.44 PEG
P/S 0.21 P/B -3.23 P/C
EV/EBITDA 20.56 EV/Sales 1.27 Quick Ratio 1.03
Current Ratio 1.85 Debt/Eq LT Debt/Eq
EPS (ttm) -1.25 EPS next Y -0.75 EPS Growth
Revenue Growth -6.50% Earnings 2026-05-07 ROA 0.07%
ROE ROIC Gross Margin 16.83%
Oper. Margin -6.07% Profit Margin -9.13% Shs Outstand 13.95M
Shs Float 43.31M Short Float Short Ratio
Short Interest 52W High 10.50 52W Low 7.32
Beta 2.48 Avg Volume 102.55K Volume 76.55K
Target Price Recom None Prev Close $8.11
Price $8.58 Change 5.80%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
Mean price target
2. Current target
$8.58
Latest analyst target
3. DCF / Fair value
$16.94
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$8.58
Low
High
Mean

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2023-05-10 main EF Hutton — → Buy $7
2023-01-23 reit EF Hutton — → Buy $18
2023-01-13 reit EF Hutton — → Buy $18
2022-11-08 main EF Hutton — → Buy $16
2022-08-08 main EF Hutton — → Buy $8
2022-07-19 init EF Hutton — → Buy $6
2020-12-15 up Citigroup Sell → Neutral $3
2020-05-18 down Piper Sandler Overweight → Neutral $1
2020-04-08 main Citigroup — → Sell $1
2020-03-13 down Wells Fargo Equal-Weight → Underweight $1
2020-03-10 down Raymond James Strong Buy → Market Perform
2020-03-10 down JP Morgan Overweight → Neutral
2020-01-09 main Wells Fargo — → Equal-Weight $8
2019-12-03 down Credit Suisse Outperform → Neutral $7
2019-11-12 main B of A Securities — → Underperform $5
2019-10-08 down B of A Securities Neutral → Underperform
2019-09-12 down Wells Fargo Outperform → Market Perform
2019-09-04 main Citigroup — → Buy $10
2019-08-28 down B of A Securities Buy → Neutral
2019-08-14 main Citigroup — → Buy $18
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2025-08-08 FOX ANN G. Chief Executive Officer 277,969 $0.62 $173,731
2025-08-08 SIRKES GUY Chief Financial Officer 49,897 $0.65 $32,433
2025-08-01 HALL JEROME D JR Director 26,250 $0.00 $0
2025-05-15 CROMBIE DAVID Chief Operating Officer 20,857 $0.62 $12,973
2025-05-14 MOORE THEODORE ROBERT General Counsel 11,530 $0.70 $8,059
2025-05-13 CROMBIE DAVID Chief Operating Officer 66,213 $0.68 $44,834
2025-05-12 MOORE THEODORE ROBERT General Counsel 42,220 $0.68 $30,602
2025-05-09 FOX ANN G. Chief Executive Officer 10,326 $0.68 $7,001
2025-05-09 SIRKES GUY Chief Financial Officer 4,282 $0.68 $2,903
2025-05-09 LUZ S. BRETT Officer 1,531 $0.68 $1,038
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
561.91
+1.41%
554.10
-9.09%
609.53
+2.72%
593.38
Operating Revenue
561.91
+1.41%
554.10
-9.09%
609.53
+2.72%
593.38
Cost Of Revenue
501.75
+1.67%
493.51
-7.13%
531.41
+6.85%
497.34
Reconciled Cost Of Revenue
501.75
+1.67%
493.51
-7.13%
531.41
+6.85%
497.34
Gross Profit
60.16
-0.72%
60.60
-22.43%
78.12
-18.66%
96.04
Operating Expense
59.75
+16.47%
51.30
-14.24%
59.82
+15.81%
51.65
Selling General And Administration
59.75
+16.47%
51.30
-14.24%
59.82
+15.81%
51.65
General And Administrative Expense
59.75
+16.47%
51.30
-14.24%
59.82
+15.81%
51.65
Other Gand A
59.75
+16.47%
51.30
-14.24%
59.82
+15.81%
51.65
Total Expenses
561.50
+3.06%
544.80
-7.85%
591.22
+7.69%
548.99
Operating Income
0.42
-95.53%
9.30
-49.19%
18.30
-58.77%
44.39
Total Operating Income As Reported
2.35
-73.74%
8.94
-49.13%
17.57
-59.67%
43.57
EBITDA
53.31
-11.83%
60.47
-16.79%
72.67
-24.57%
96.34
Normalized EBITDA
51.38
-15.53%
60.83
-17.13%
73.40
-22.18%
94.32
Reconciled Depreciation
49.60
-0.87%
50.03
-5.92%
53.18
+8.72%
48.92
EBIT
3.71
-64.41%
10.44
-46.45%
19.49
-58.90%
47.42
Total Unusual Items
1.93
+636.67%
-0.36
+50.62%
-0.73
-136.05%
2.02
Total Unusual Items Excluding Goodwill
1.93
+636.67%
-0.36
+50.62%
-0.73
-136.05%
2.02
Special Income Charges
1.93
+636.67%
-0.36
+50.62%
-0.73
-136.05%
2.02
Other Special Charges
-2.84
Impairment Of Capital Assets
Restructuring And Mergern Acquisition
0.22
+108.65%
0.10
-76.20%
0.44
-3.74%
0.45
Net Income
-51.32
-24.93%
-41.08
-27.53%
-32.21
-323.81%
14.39
Pretax Income
-51.49
-25.95%
-40.88
-29.27%
-31.63
-311.71%
14.94
Net Non Operating Interest Income Expense
-54.52
-8.03%
-50.47
-1.25%
-49.85
-54.90%
-32.18
Interest Expense Non Operating
55.21
+7.57%
51.32
+0.40%
51.12
+57.36%
32.49
Net Interest Income
-54.52
-8.03%
-50.47
-1.25%
-49.85
-54.90%
-32.18
Interest Expense
55.21
+7.57%
51.32
+0.40%
51.12
+57.36%
32.49
Interest Income Non Operating
0.68
-19.55%
0.85
-33.15%
1.27
+316.39%
0.30
Interest Income
0.68
-19.55%
0.85
-33.15%
1.27
+316.39%
0.30
Other Income Expense
2.62
+808.33%
0.29
+455.56%
-0.08
-102.97%
2.73
Other Non Operating Income Expenses
0.68
+5.56%
0.65
+0.00%
0.65
-8.60%
0.71
Tax Provision
-0.17
-186.36%
0.20
-66.15%
0.58
+7.14%
0.55
Tax Rate For Calcs
0.00
-98.57%
0.00
+0.00%
0.00
+467.57%
0.00
Tax Effect Of Unusual Items
0.01
+107.67%
-0.08
+50.62%
-0.15
-304.63%
0.07
Net Income Including Noncontrolling Interests
-51.32
-24.93%
-41.08
-27.53%
-32.21
-323.81%
14.39
Net Income From Continuing Operation Net Minority Interest
-51.32
-24.93%
-41.08
-27.53%
-32.21
-323.81%
14.39
Net Income From Continuing And Discontinued Operation
-51.32
-24.93%
-41.08
-27.53%
-32.21
-323.81%
14.39
Net Income Continuous Operations
-51.32
-24.93%
-41.08
-27.53%
-32.21
-323.81%
14.39
Normalized Income
-53.25
-30.52%
-40.80
-28.95%
-31.64
-354.20%
12.45
Net Income Common Stockholders
-51.32
-24.93%
-41.08
-27.53%
-32.21
-323.81%
14.39
Diluted EPS
-1.11
-14.43%
-0.97
-315.56%
0.45
Basic EPS
-1.11
-14.43%
-0.97
-306.38%
0.47
Basic Average Shares
37.17
+11.69%
33.28
+7.60%
30.93
Diluted Average Shares
37.17
+11.69%
33.28
+3.20%
32.25
Diluted NI Availto Com Stockholders
-51.32
-24.93%
-41.08
-27.53%
-32.21
-323.81%
14.39
Gain On Sale Of PPE
2.15
+939.45%
-0.26
+12.33%
-0.29
+20.44%
-0.37
Line Item Trend 2023-12-31
Total Assets
401.98
Current Assets
183.63
Cash Cash Equivalents And Short Term Investments
30.84
Cash And Cash Equivalents
30.84
Receivables
88.94
Accounts Receivable
88.45
Gross Accounts Receivable
89.05
Allowance For Doubtful Accounts Receivable
-0.60
Taxes Receivable
0.49
Inventory
54.49
Raw Materials
31.23
Work In Process
0.54
Finished Goods
28.87
Prepaid Assets
8.87
Restricted Cash
Other Current Assets
0.50
Total Non Current Assets
218.35
Net PPE
124.47
Gross PPE
413.26
Accumulated Depreciation
-288.79
Properties
0.00
Land And Improvements
1.56
Buildings And Improvements
5.69
Machinery Furniture Equipment
5.86
Other Properties
397.87
Leases
2.28
Goodwill And Other Intangible Assets
90.43
Other Intangible Assets
90.43
Other Non Current Assets
3.45
Total Liabilities Net Minority Interest
437.61
Current Liabilities
82.75
Payables And Accrued Expenses
58.60
Payables
33.38
Accounts Payable
33.38
Current Accrued Expenses
25.22
Pensionand Other Post Retirement Benefit Plans Current
10.95
Total Tax Payable
Income Tax Payable
Current Debt And Capital Lease Obligation
13.20
Current Debt
2.86
Other Current Borrowings
2.86
Current Capital Lease Obligation
10.35
Total Non Current Liabilities Net Minority Interest
354.86
Long Term Debt And Capital Lease Obligation
353.11
Long Term Debt
320.52
Long Term Capital Lease Obligation
32.59
Other Non Current Liabilities
1.75
Stockholders Equity
-35.63
Common Stock Equity
-35.63
Capital Stock
0.35
Common Stock
0.35
Share Issued
35.32
Ordinary Shares Number
35.32
Treasury Shares Number
0.00
Additional Paid In Capital
795.11
Retained Earnings
-826.23
Gains Losses Not Affecting Retained Earnings
-4.86
Other Equity Adjustments
-4.86
Total Equity Gross Minority Interest
-35.63
Total Capitalization
284.89
Working Capital
100.88
Invested Capital
287.75
Total Debt
366.32
Net Debt
292.54
Capital Lease Obligations
42.94
Net Tangible Assets
-126.06
Tangible Book Value
-126.06
Interest Payable
17.22
Inventories Adjustments Allowances
-6.16
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
-7.31
-155.37%
13.20
-71.01%
45.51
+172.97%
16.67
Cash Flow From Continuing Operating Activities
-7.31
-155.37%
13.20
-71.01%
45.51
+172.97%
16.67
Net Income From Continuing Operations
-51.32
-24.93%
-41.08
-27.53%
-32.21
-323.81%
14.39
Depreciation Amortization Depletion
49.60
-0.87%
50.03
-5.92%
53.18
+8.72%
48.92
Depreciation
38.42
-1.11%
38.85
-6.76%
41.66
+17.52%
35.45
Amortization Cash Flow
11.18
+0.00%
11.18
-2.89%
11.52
-14.46%
13.46
Depreciation And Amortization
49.60
-0.87%
50.03
-5.92%
53.18
+8.72%
48.92
Amortization Of Intangibles
11.18
+0.00%
11.18
-2.89%
11.52
-14.46%
13.46
Other Non Cash Items
14.57
+89.10%
7.71
-1.83%
7.85
+96.30%
4.00
Stock Based Compensation
2.21
-24.95%
2.95
+35.82%
2.17
-11.11%
2.44
Provisionand Write Offof Assets
1.63
-28.05%
2.26
-14.66%
2.65
-5.25%
2.80
Asset Impairment Charge
Deferred Tax
Deferred Income Tax
Operating Gains Losses
-2.15
-939.45%
0.26
-12.33%
0.29
+111.79%
-2.48
Gain Loss On Sale Of PPE
-2.15
-939.45%
0.26
-12.33%
0.29
-20.44%
0.37
Change In Working Capital
-21.85
-144.70%
-8.93
-177.12%
11.58
+121.68%
-53.40
Change In Receivables
5.21
-22.52%
6.72
-59.22%
16.49
+140.11%
-41.11
Changes In Account Receivables
5.21
-22.52%
6.72
-59.22%
16.49
+140.11%
-41.11
Change In Inventory
-7.14
-517.66%
1.71
-67.24%
5.22
+122.72%
-22.97
Change In Prepaid Assets
-5.45
-447.54%
-0.99
-186.67%
1.15
+240.34%
-0.82
Change In Payables And Accrued Expense
2.71
+229.54%
-2.09
-297.73%
1.06
-94.57%
19.48
Change In Payable
Change In Account Payable
Change In Other Working Capital
-2.05
-71.30%
-1.20
-17171.43%
0.01
-99.03%
0.72
Change In Other Current Liabilities
-15.13
-15.67%
-13.08
-5.96%
-12.34
-41.92%
-8.70
Investing Cash Flow
-13.59
+4.12%
-14.18
+38.77%
-23.16
+8.89%
-25.42
Cash Flow From Continuing Investing Activities
-13.59
+4.12%
-14.18
+38.77%
-23.16
+8.89%
-25.42
Net PPE Purchase And Sale
-13.59
+4.12%
-14.18
+38.77%
-23.16
+8.89%
-25.42
Purchase Of PPE
-15.95
-8.03%
-14.76
+40.00%
-24.60
+13.83%
-28.55
Sale Of PPE
2.35
+302.39%
0.58
-59.54%
1.45
-53.86%
3.13
Capital Expenditure
-15.95
-8.03%
-14.76
+40.00%
-24.60
+13.83%
-28.55
Financing Cash Flow
12.86
+864.23%
-1.68
+81.08%
-8.89
-283.40%
4.85
Cash Flow From Continuing Financing Activities
12.86
+864.23%
-1.68
+81.08%
-8.89
-283.40%
4.85
Net Issuance Payments Of Debt
17.64
+289.14%
-9.33
+96.69%
-281.96
-4941.41%
5.82
Issuance Of Debt
75.52
+761.86%
8.76
-80.41%
44.73
+59.27%
28.09
Repayment Of Debt
-57.87
-219.92%
-18.09
+94.46%
-326.70
-1367.51%
-22.26
Long Term Debt Issuance
65.95
+2098.20%
3.00
-92.50%
40.00
+66.67%
24.00
Long Term Debt Payments
-51.03
-291.09%
-13.05
+95.95%
-322.56
-3800.79%
-8.27
Net Long Term Debt Issuance
14.91
+248.40%
-10.05
+96.44%
-282.56
-1896.17%
15.73
Short Term Debt Issuance
9.57
+66.09%
5.76
+21.74%
4.73
+15.83%
4.09
Short Term Debt Payments
-6.84
-35.69%
-5.04
-21.73%
-4.14
+70.41%
-13.99
Net Short Term Debt Issuance
2.73
+278.64%
0.72
+21.79%
0.59
+105.98%
-9.91
Net Common Stock Issuance
0.00
-100.00%
8.25
-97.05%
279.75
0.00
Proceeds From Stock Option Exercised
0.00
+100.00%
-0.00
Net Other Financing Charges
-4.78
-691.56%
-0.60
+90.95%
-6.68
-584.82%
-0.97
Changes In Cash
-8.04
-201.50%
-2.67
-119.81%
13.46
+445.46%
-3.90
Effect Of Exchange Rate Changes
0.00
+100.00%
-0.29
-359.38%
-0.06
+61.90%
-0.17
Beginning Cash Position
27.88
-9.60%
30.84
+76.78%
17.45
-18.89%
21.51
End Cash Position
19.84
-28.83%
27.88
-9.60%
30.84
+76.78%
17.45
Free Cash Flow
-23.25
-1383.04%
-1.57
-107.50%
20.91
+275.99%
-11.88
Interest Paid Supplemental Data
43.19
-1.71%
43.94
+39.80%
31.43
+5.80%
29.71
Income Tax Paid Supplemental Data
0.53
-6.75%
0.56
Common Stock Issuance
0.00
-100.00%
8.25
-97.05%
279.75
0.00
Issuance Of Capital Stock
0.00
-100.00%
8.25
-97.05%
279.75
0.00
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

Trades
Date User Broker Pattern Type Position Size Entry Price Trade P&L Status
Posts
Published Title Author Category