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A

AirJoule Technologies Corporation (AIRJ)

NCM – Real Time Price. Currency in USD

2.94

-0.13 (-4.23%)

At close: Mar 27, 2026, 4:00 PM EDT

2.94

-0.00 (-0.03%)

After-hours: Mar 27, 2026, 7:06 PM EDT

  • Summary
  • News
  • Chart
  • Financial
  • Dividends
  • Forecast
  • Ownership
  • Profile

Stock details

Previous close
2.94$
Day's range
2.88 - 3.07$
52-week range
2.61 - 6.75$
Volume
466 545
Average volume
375 204
Beta
0.94
EPS (TTM)
-0.01
PE ratio (TTM)
N/A
Market cap
196 490 662
Shares outstanding
66 833 559
Dividend yield
N/A
Next earnings date
2026-03-30
Sector
Industrials
Industry
Building Products & Equipment

About the company

AirJoule Technologies Corporation operates as an atmospheric renewable energy and water harvesting technology company. It provides energy and dehumidification, evaporative cooling, and atmospheric water generation through its AirJoule technology. The company also offers solutions, such as water from air, water recovery, cooling systems, and moisture control. The company was founded in 2018 and is headquartered in Ronan, Mon... read more
CEO
Matthew Jore
Country
United States
IPO Date
Employees
17
Fiscal Year End
January - December
Website
https://airjouletech.com

Revenue Breakdown

No Data

Revenue breakdown data has not been calculated yet.

News

No Data

There are no news for this stock.

Chart: AIRJ

Loading Chart...

Overall Score

3.7 / 1037%
Financial Strength
8.2
Profitability
1
Effectiveness
7.8
Growth
4.9
Forecast
2.5
Valuation
3.6

Financial Strength

NAMERATIOINDUSTRY5Y TRENDSCORE
Current ratio14.154.2610
Quick ratio14.153.4310
Debt to Equity0.001.2410
Debt to Assets0.000.3410
Interest coverageN/A16.631.0
Weighted average score8.2

Debt to Assets

Financial

Values in USD
(B=Billions, M=Millions, K=Thousands)
Values in USD (B=Billions, M=Millions, K=Thousands)
METRIC2021202220232024TTM
Total RevenueN/AN/AN/AN/AN/A
Gross ProfitN/AN/A-26K-36K-40K
Operating Income-545K-1M-11M-11M-13M
Net Income-544K2M-11M216M-927K
EBITDA-545K-1M-11M-11M-13M

Current Ratio

Revenue & Net Income

Cashflow

Margin Ratios

Profitability

NAMERATIOINDUSTRY5Y TRENDSCORE
Gross margin %N/A34.441.0
Operating margin %N/A-1.861.0
Net margin %N/A-1.021.0
EBITDA margin %N/A-172.941.0
Cash flow margin %N/A-197.631.0
Weighted average score1.0

Net Margin

Effectiveness

NAMERATIOINDUSTRY5Y TRENDSCORE
ROA27.76-5.49
10
ROE39.4636.43
10
ROIC39.4415.99
10
ROCE-0.8916.16
1.0
Weighted average score7.8

Estimated EPS vs Actual EPS

Forecast

NAMEREVENUE GROWTHEPS GROWTHSCORE
Current quarterN/A725.5
Next quarterN/A-126.921.0
Current yearN/A-96.031.0
Next year4.75-282.812.5
Weighted average score2.5

Analyst Rating

Growth

NAMEREVENUENET INCOMEEPSFCFSCORE
Q/Q999-259.63-274.9916.395.3
Y/Y999-111.45-111.4752.965.5
3y average999604.5N/A143.57.8
5y averageN/AN/AN/AN/A1.0
Weighted average score4.9

Revenue Growth Rate vs. Industry

Valuation

NAMERATIOINDUSTRY5Q TRENDSCORE
P/E43.6018.18
2.8
PEG (5yr expected)N/A5.38
1.0
P/SN/A2.84
1.0
P/B0.734.15
9.4
Weighted average score3.6

DCF Model

DCF Model PeriodN/A
Discount rateN/A
Perpetual growth rateN/A
Revenue 5 year CAGRN/A
FCF 5 year CAGRN/A
Fair value$
Stock price2.94$

Dividend

NAMECURRENTINDUSTRYSCORE
Dividend yield0.00N/A1.0
Payout ratio0.00N/A1.0
5-year dividend growth rateN/AN/A1.0
Years of dividend increaseN/AN/A1.0
Weighted average score1.0

Fair Value

Fair Value

$1

UndervaluedStock priceOvervalued

$2.94

Economic Moat

NAMESCALESCORE
Market shareNone1.0
Intangible assetsNone1.0
Switching costsNone1.0
Network effectNone1.0
Economies of scaleNone1.0
Weighted average score1.0
Dividend
1
Economic Moat
1

Octagon View

Strength & Weakness

Company's cash reserves $26.0M significantly exceed its total debt $132.0K, ensuring strong financial flexibility

Total current assets $27.9M exceed Total current liabilities $2.0M, highlighting excellent liquidity

Debt-to-equity ratio (0.0) is well below the industry average (1.2), showcasing prudent financial management

Interest expense exists but EBIT data is unavailable, indicating potential profitability concerns

Negative free cash flow -$1.9M limits the company's ability to reinvest or pay down debt