
XCF Global, Inc. Class A Common Stock (SAFX) Market Cap
XCF Global, Inc. Class A Common Stock has a market capitalization of $144.3M.
Financials based on reported quarter end 2025-12-31
Price: $0.62
โผ -0.27 (-30.64%)
Market Cap: 144.26M
NASDAQ ยท time unavailable
CEO: Christopher Cooper
Sector: Energy
Industry: Oil & Gas Exploration & Production
IPO Date: 2025-06-09
Website: http://www.xcf.global
XCF Global, Inc. Class A Common Stock (SAFX) - Company Information
Market Cap: 144.26M ยท Sector: Energy
XCF Global, Inc. is a pioneering sustainable aviation fuel (SAF) company dedicated to accelerating the aviation industry's transition to net-zero emissions. The company develops and operates state-of-the-art clean fuel SAF production facilities designed for high compliance, reliability, and quality. XCF is actively building partnerships across energy and transportation sectors to scale SAF adoption globally. Their New Rise Reno facility began commercial production in February 2025, with a capacity of 38 million gallons of neat SAF per year, and they are expanding production sites in Nevada, North Carolina, and Florida.
Analyst Sentiment
Based on 1 ratings
Consensus Price Target
No data available
Price & Moving Averages
Related Companies in Energy
Fundamentals Overview
๐ AI Financial Analysis
Powered by StockMarketInfo"SAFX reported revenue of $4.69M for the latest period (ending 2025-12-31) with net income of -$22.32M and EPS of -$0.22, resulting in negative margins. Free cash flow was -$4.11M (operating cash flow: -$4.11M) with $0 capex and $0 dividends paid, indicating the business is currently consuming cash rather than generating distributable funds. On the balance sheet, total assets were $419.47M versus total liabilities of $381.82M, leaving equity of $37.65M. Net debt was $121.76M, implying leverage that could pressure flexibility if losses persist. Profitability remains the primary challenge: the large net loss alongside negative EPS suggests either elevated costs, non-operating charges, or other factors weighing on earnings quality. Valuation context and shareholder returns also look strained. The stock price is $0.3938 with a -96.72% 1-year change and -67.98% over 6 months, despite a +47.10% YTD move. With no dividend or buyback data provided, total shareholder value creation over the last year appears dominated by capital depreciation rather than cash returns."
Revenue Growth
Revenue of $4.69M provides a scale reference, but the dataset does not include YoY/quarterly growth rates or segment drivers, limiting confidence on trajectory.
Profitability
Net income of -$22.32M and EPS of -$0.22 indicate sustained losses and weak earnings power for the period.
Cash Flow Quality
Operating cash flow and free cash flow were both -$4.11M, and dividends paid were $0; cash generation is negative with no reported capex support for future turnaround.
Leverage & Balance Sheet
Net debt of $121.76M and liabilities of $381.82M versus equity of $37.65M suggest meaningful leverage and reduced resilience if performance does not improve.
Shareholder Returns
Total shareholder outcomes appear weak: the stock is down -96.72% over 1 year and -67.98% over 6 months. No dividends are reported, and buybacks are not provided.
Analyst Sentiment & Valuation
Key valuation inputs (e.g., P/E, FCF yield) and analyst price targets are missing; given the negative EPS/FCF backdrop, valuation support appears limited.
Disclaimer:This analysis is AI-generated for informational purposes only. Accuracy is not guaranteed and this does not constitute financial advice.





