UROY Chart
About

Uranium Royalty Corp. operates as a pure-play uranium royalty company in Canada, the United States, Namibia, and Spain. It engages in the acquisition and assembly of a portfolio of royalties; investment in companies with exposure to uranium and physical uranium; and purchase and sale of physical uranium. The company also owns and manages a portfolio of geographically diversified uranium interests. Uranium Royalty Corp. was incorporated in 2017 and is headquartered in Vancouver, Canada.

Fundamentals
Scroll to Statements
Sector Energy Industry Uranium Market Cap 600.45M
Enterprise Value 518.31M Income 511.00K Sales 37.95M
Book/sh 1.74 Cash/sh 0.59 Dividend Yield —
Payout 0.00% Employees 14 IPO —
P/E 434.00 Forward P/E inf PEG —
P/S 15.82 P/B 2.49 P/C —
EV/EBITDA -239.40 EV/Sales 13.66 Quick Ratio 80.30
Current Ratio 265.74 Debt/Eq 0.06 LT Debt/Eq —
EPS (ttm) 0.01 EPS next Y 0.00 EPS Growth —
Revenue Growth -99.60% Earnings 2026-03-05 ROA -0.45%
ROE 0.17% ROIC — Gross Margin 16.03%
Oper. Margin -71.61% Profit Margin 1.35% Shs Outstand 138.35M
Shs Float 117.30M Short Float — Short Ratio 2.86
Short Interest — 52W High 5.52 52W Low 1.43
Beta 2.00 Avg Volume 2.72M Volume 1.95M
Target Price $4.58 Recom None Prev Close $4.19
Price $4.34 Change 3.58%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
$4.58
Mean price target
2. Current target
$4.34
Latest analyst target
3. DCF / Fair value
$1.37
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$4.34
Low
$4.58
High
$4.58
Mean
$4.58

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2025-04-22 main HC Wainwright & Co. Buy → Buy $5
2024-12-19 reit HC Wainwright & Co. Buy → Buy $8
2024-10-07 init B. Riley Securities — → Buy $4
2024-09-17 reit HC Wainwright & Co. Buy → Buy $8
2024-06-17 reit HC Wainwright & Co. Buy → Buy $8
2024-03-11 main HC Wainwright & Co. Buy → Buy $8
Insider Transactions
Date Shares Value Url Text Insider Position Transaction Start Date Ownership
0 28400 110447.0 — Disposition in the public market at price 3.89 per share. Hirsekorn (Darcy) Senior Officer of Issuer — 2025-10-21 00:00:00 D
1 100000 249900.0 — Exercise of options at price 2.50 per share. Hirsekorn (Darcy) Senior Officer of Issuer — 2025-10-02 00:00:00 D
2 67500 280395.0 — Disposition in the public market at price 4.15 per share. Hirsekorn (Darcy) Senior Officer of Issuer — 2025-10-02 00:00:00 D
3 17978364 nan — — Man (Josephine) Director or Senior Officer of 10% Security Holder — 2025-08-01 00:00:00 I
4 — nan — — Marshall (Andrew Colin) Senior Officer of Issuer — 2025-08-01 00:00:00 D
Financials
Line Item2025-04-302024-04-302023-04-302022-04-30
TaxEffectOfUnusualItems-129.75K-30.15K-1.67K-92.11K
TaxRateForCalcs0.150.150.000.34
NormalizedEBITDA-4.30M7.99M-3.54M-5.45M
TotalUnusualItems-865.00K-201.00K-653.00K-271.00K
TotalUnusualItemsExcludingGoodwill-865.00K-201.00K-653.00K-271.00K
NetIncomeFromContinuingOperationNetMinorityInterest-5.65M9.78M-5.84M-4.26M
ReconciledDepreciation120.00K23.00K24.00K2.00K
ReconciledCostOfRevenue12.06M27.95M11.04M0.00
EBITDA-5.17M7.79M-4.20M-5.72M
EBIT-5.29M7.77M-4.22M-5.73M
NetInterestIncome139.00K683.00K-1.57M-685.00K
InterestExpense18.00K9.00K1.64M722.00K
InterestIncome575.00K692.00K67.00K37.00K
NormalizedIncome-4.92M9.95M-5.19M-4.08M
NetIncomeFromContinuingAndDiscontinuedOperation-5.65M9.78M-5.84M-4.26M
TotalExpenses20.40M35.63M17.64M5.49M
TotalOperatingIncomeAsReported-4.81M7.08M-3.78M-5.62M
DilutedAverageShares126.80M115.33M97.95M88.27M
BasicAverageShares126.80M108.64M97.95M88.27M
DilutedEPS-0.040.08-0.06-0.05
BasicEPS-0.040.09-0.06-0.05
DilutedNIAvailtoComStockholders-5.65M9.78M-5.84M-4.26M
NetIncomeCommonStockholders-5.65M9.78M-5.84M-4.26M
NetIncome-5.65M9.78M-5.84M-4.26M
NetIncomeIncludingNoncontrollingInterests-5.65M9.78M-5.84M-4.26M
NetIncomeContinuousOperations-5.65M9.78M-5.84M-4.26M
TaxProvision346.00K-2.02M-15.00K-2.19M
PretaxIncome-5.31M7.76M-5.86M-6.45M
OtherIncomeExpense-641.00K-3.00K-507.00K-271.00K
OtherNonOperatingIncomeExpenses224.00K198.00K146.00K
SpecialIncomeCharges0.00-125.00K0.00
WriteOff0.00125.00K0.00
GainOnSaleOfSecurity-865.00K-201.00K-653.00K-146.00K
NetNonOperatingInterestIncomeExpense139.00K683.00K-1.57M-685.00K
TotalOtherFinanceCost418.00K
InterestExpenseNonOperating18.00K9.00K1.64M722.00K
InterestIncomeNonOperating575.00K692.00K67.00K37.00K
OperatingIncome-4.81M7.08M-3.78M-5.49M
OperatingExpense8.34M7.68M6.60M5.49M
OtherOperatingExpenses498.00K757.00K492.00K573.00K
DepreciationAmortizationDepletionIncomeStatement24.00K2.00K0.00
DepreciationAndAmortizationInIncomeStatement24.00K2.00K0.00
DepreciationIncomeStatement24.00K2.00K0.00
SellingGeneralAndAdministration7.84M6.92M6.11M4.92M
SellingAndMarketingExpense1.38M92.00K
GeneralAndAdministrativeExpense7.84M6.92M6.11M4.92M
OtherGandA5.92M5.12M4.21M2.52M
InsuranceAndClaims511.00K489.00K
SalariesAndWages1.93M1.80M1.90M1.91M
GrossProfit3.54M14.76M2.82M0.00
CostOfRevenue12.06M27.95M11.04M0.00
TotalRevenue15.60M42.71M13.85M0.00
OperatingRevenue15.60M42.71M13.85M0.00
Line Item2025-04-302024-04-302023-04-302022-04-30
OrdinarySharesNumber133.64M120.55M99.80M95.55M
ShareIssued133.64M120.55M99.80M95.55M
NetDebt8.56M
TotalDebt209.00K193.00K9.87M13.07M
TangibleBookValue294.89M275.79M175.37M164.64M
InvestedCapital294.89M275.79M185.13M177.58M
WorkingCapital237.14M228.99M128.49M133.54M
NetTangibleAssets294.89M275.79M175.37M164.64M
CapitalLeaseObligations209.00K193.00K104.00K120.00K
CommonStockEquity294.89M275.79M175.37M164.64M
TotalCapitalization294.89M275.79M175.37M177.58M
TotalEquityGrossMinorityInterest294.89M275.79M175.37M164.64M
StockholdersEquity294.89M275.79M175.37M164.64M
OtherEquityInterest6.35M
GainsLossesNotAffectingRetainedEarnings3.71M8.87M19.95M24.34M
OtherEquityAdjustments3.71M8.87M19.95M24.34M
RetainedEarnings17.23M22.52M-11.86M-12.14M
CapitalStock273.95M244.40M167.28M152.44M
CommonStock273.95M244.40M167.28M152.44M
TotalLiabilitiesNetMinorityInterest1.18M2.91M10.42M13.54M
TotalNonCurrentLiabilitiesNetMinorityInterest157.00K156.00K83.00K13.05M
LongTermDebtAndCapitalLeaseObligation157.00K156.00K83.00K13.05M
LongTermCapitalLeaseObligation157.00K156.00K83.00K103.00K
LongTermDebt12.95M40.00K
CurrentLiabilities1.02M2.76M10.34M486.00K
CurrentDebtAndCapitalLeaseObligation52.00K37.00K9.79M17.00K
CurrentCapitalLeaseObligation52.00K37.00K21.00K17.00K
CurrentDebt9.77M
OtherCurrentBorrowings9.77M
PayablesAndAccruedExpenses968.00K2.72M549.00K469.00K
Payables968.00K2.72M549.00K506.94K
OtherPayable1.52M
AccountsPayable968.00K1.20M549.00K506.94K
TotalAssets296.07M278.70M185.79M178.17M
TotalNonCurrentAssets57.91M46.95M46.96M44.14M
FinancialAssets0.000.00143.00K25.58M
NetPPE57.91M46.95M46.96M44.00M
AccumulatedDepreciation-1.27M-606.00K-147.00K0.00
GrossPPE59.17M47.56M47.11M44.00M
OtherProperties189.00K181.00K96.00K120.00K
CurrentAssets238.16M231.75M138.83M134.03M
RestrictedCash110.00K110.00K110.00K697.00K
PrepaidAssets511.00K2.13M280.00K
Inventory217.50M187.09M85.56M75.03M
OtherInventories85.56M75.03M12.40M
Receivables468.00K14.31M511.00K2.13M
OtherReceivables426.00K490.00K511.00K2.13M
AccountsReceivable42.00K13.82M0.00
CashCashEquivalentsAndShortTermInvestments20.08M30.24M52.65M56.17M
OtherShortTermInvestments7.15M9.14M38.34M51.79M
CashAndCashEquivalents12.94M21.10M14.31M4.38M
CashFinancial12.94M21.10M14.31M4.38M
Line Item2025-04-302024-04-302023-04-302022-04-30
FreeCashFlow-33.21M-104.92M-13.63M-82.56M
RepaymentOfDebt-65.00K-9.61M-4.19M-3.00K
IssuanceOfDebt12.41M0.00
IssuanceOfCapitalStock0.0070.48M14.22M57.73M
CapitalExpenditure-11.58M-75.00K-2.17M-13.75M
EndCashPosition12.94M21.10M14.31M4.38M
BeginningCashPosition21.10M14.31M4.38M7.21M
EffectOfExchangeRateChanges438.00K-201.00K1.00K-1.00K
ChangesInCash-8.60M7.00M9.92M-2.83M
FinancingCashFlow24.39M66.60M9.20M85.06M
CashFlowFromContinuingFinancingActivities24.39M66.60M9.20M85.06M
NetOtherFinancingCharges-1.28M
InterestPaidCFF-439.00K-167.00K-1.35M-582.00K
ProceedsFromStockOptionExercised26.17M5.90M513.00K15.50M
CashDividendsPaid0.000.000.000.00
NetCommonStockIssuance0.0070.48M14.22M57.73M
CommonStockIssuance0.0070.48M14.22M57.73M
NetIssuancePaymentsOfDebt-65.00K-9.61M-4.19M12.41M
NetShortTermDebtIssuance0.00-9.59M-4.17M
ShortTermDebtPayments0.00-9.59M-4.17M
NetLongTermDebtIssuance-65.00K-20.00K-25.00K12.41M
LongTermDebtPayments-65.00K-20.00K-25.00K-3.00K
LongTermDebtIssuance12.41M0.00
InvestingCashFlow-11.36M45.23M12.19M-19.09M
CashFlowFromContinuingInvestingActivities-11.36M45.23M12.19M-19.09M
NetOtherInvestingChanges587.00K
InterestReceivedCFI575.00K693.00K68.00K37.00K
NetInvestmentPurchaseAndSale-350.00K44.62M13.70M-5.37M
SaleOfInvestment0.0045.39M16.55M4.30M
PurchaseOfInvestment-350.00K-769.00K-2.85M-9.67M
NetPPEPurchaseAndSale-11.58M-75.00K-2.17M-13.75M
PurchaseOfPPE-11.58M-75.00K-2.17M-13.75M
OperatingCashFlow-21.63M-104.84M-11.46M-68.80M
CashFlowFromContinuingOperatingActivities-21.63M-104.84M-11.46M-68.80M
ChangeInWorkingCapital-17.73M-112.69M-8.68M-64.63M
ChangeInPayablesAndAccruedExpense-1.75M2.17M80.00K-60.00K
ChangeInPayable-1.75M2.17M80.00K
ChangeInAccountPayable-234.00K653.00K80.00K
ChangeInPrepaidAssets64.00K21.00K1.62M-1.96M
ChangeInInventory-29.82M-101.07M-10.38M-62.61M
ChangeInReceivables13.78M-13.82M0.00
ChangesInAccountReceivables13.78M-13.82M0.00
OtherNonCashItems-363.00K-868.00K1.42M685.00K
StockBasedCompensation784.00K738.00K927.00K1.27M
AssetImpairmentCharge0.00125.00K0.00
DepreciationAmortizationDepletion120.00K23.00K24.00K2.00K
Depletion65.00K0.00
DepreciationAndAmortization55.00K23.00K24.00K2.00K
Depreciation55.00K23.00K24.00K2.00K
OperatingGainsLosses865.00K201.00K706.00K200.00K
GainLossOnInvestmentSecurities-126.00K
NetForeignCurrencyExchangeGainLoss865.00K201.00K706.00K326.00K
NetIncomeFromContinuingOperations-5.31M7.76M-5.86M-6.45M
SEC Filings

No SEC filings found for this symbol (may be non-US or ticker not in SEC index).

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