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TMD Energy Ltd
TMDECIK 0002009714NYSENon-AcceleratedEmerging GrowthWholesale-Petroleum & Petroleum Products (No Bulk Stations)E9KYFY ends Jun 30
Period
FY 2024
Revenue
$688.61M
Net Income
$1.88M
Total Assets
$110.10M
Equity
$17.88M
Shares Out
23.57M
Op. Cash Flow
$-24.29M
Business
TMD Energy Ltd is a foreign private issuer in Petroleum & Petroleum Products (No Bulk Stations), headquartered in the Cayman Islands. Shares trade on NYSE under the ticker TMDE.
Auto-generated from company profile
Financials
Consolidated Statement of Income
Year Ended · In millions, except per-share amounts
| Concept | Trend | Dec 31, 2024 2024-12-31 | Dec 31, 2023 2023-12-31 |
|---|---|---|---|
| Related party sales revenues | 689 | 633 | |
| Total cost of revenues | 673 | 621 | |
| Gross profit | 16 | 12 | |
| Operating expenses | — | — | |
| Selling and marketing expenses | 39,664 | 101,302 | |
| General and administrative expenses | 5 | 5 | |
| Depreciation expenses | 5 | 4 | |
| Total operating expenses | 10 | 9 | |
| (Loss) Income from operations | 6 | 3 | |
| Other (expenses) income, net | — | — | |
| Interest Expense | 52,126 | 10,264 | |
| Non-Operating Income (Expense) | 2 | 3 | |
| Interest expenses | 5 | 2 | |
| Share of losses of associate | 710 | — | |
| Total other (expenses) income, net | −3 | 1 | |
| (Loss) Income before income taxes | 3 | 4 | |
| Income tax benefits (expenses) | 1 | 774,239 | |
| Net (loss) income of single operating segment | 2 | 3 | |
| Less: loss (income) attributable to non-controlling interest | 167,910 | 962,761 | |
| Net (loss) income attributable to controlling interest | 2 | 2 | |
| Shares Outstanding | — | — | |
| Weighted Average Shares Outstanding | 20 | 20 | |
| Weighted Average Shares Outstanding, Diluted | 20 | 20 | |
| Earnings Per Share | — | — | |
| Earnings Per Share (Basic) | 0.09 | 0.1 | |
| Earnings Per Share (Diluted) | 0.09 | 0.1 | |
| Net (loss) income of single operating segment | 2 | 3 | |
| Foreign currency translation adjustments | 276,068 | 2 | |
| Comprehensive (loss) income including non-controlling interest | 2 | 5 | |
| Comprehensive (loss) income including non-controlling interest | 2 | 5 | |
| Comprehensive (loss) income attributable to non-controlling interest | 167,781 | 832,987 | |
| Comprehensive (loss) income attributable to controlling interest | 2 | 4 |
Consolidated Balance Sheet
As of · In millions, except per-share amounts
| Concept | Trend | Jun 30, 2025 2025-06-30 | Dec 31, 2024 2024-12-31 |
|---|---|---|---|
| ASSETS | — | — | |
| Current Assets | — | — | |
| Cash and Cash Equivalents | 7 | 16 | |
| Accounts Receivable | 28 | 20 | |
| Inventory | 8 | 10 | |
| Other Non-Operating Current Assets | 18 | 12 | |
| Other Non-Operating Current Assets | 31 | 20 | |
| Income Tax Receivable | 1 | — | |
| Total current assets | 93 | 78 | |
| Non-Current Assets | — | — | |
| Property, Plant and Equipment | 32 | 32 | |
| Cash and Cash Equivalents | 89,712 | 88,908 | |
| Operating Lease Right-of-Use Asset | 37,981 | 16,603 | |
| Deferred Tax Assets, Non-Current | 67,217 | — | |
| Total Non-Current Assets | 32 | 32 | |
| Total Assets | 125 | 110 | |
| LIABILITIES AND SHAREHOLDERS’ EQUITY | — | — | |
| Current liabilities | — | — | |
| Accounts Payable | 7 | 7 | |
| Other payables | 1 | 2 | |
| Trade financing facilities | 92 | 79 | |
| Other Non-Operating Current Liabilities | 1 | 626,745 | |
| Accrued Income Taxes | — | 773,578 | |
| Operating Lease Liability, Current | 24,437 | 9,223 | |
| Current Portion of Long-Term Debt | 409,025 | 776,753 | |
| Short-Term Debt | 11,979 | 11,053 | |
| Total current liabilities | 102 | 90 | |
| Non-Current Liabilities | — | — | |
| Operating Lease Liability, Non-Current | 14,301 | 7,564 | |
| Long-Term Debt | 525,148 | 504,319 | |
| Long-Term Debt | 53,658 | 56,559 | |
| Total Non-Current Liabilities | 593,107 | 568,442 | |
| Total Liabilities | 102 | 91 | |
| Shareholders’ Equity | — | — | |
| Total Stockholders' Equity | 2,357 | 2,000 | |
| Additional Paid-In Capital | 13 | 5 | |
| Retained Earnings | 8 | 13 | |
| Accumulated Other Comprehensive Income | 578,386 | 663,895 | |
| Total equity attributable to equity holders’ of TMD Energy Limited | 22 | 18 | |
| Noncontrolling Interest | 1 | 1 | |
| Total Equity | 23 | 19 | |
| Total Liabilities and Shareholders’ Equity | 125 | 110 |
Consolidated Statement of Cash Flows
Year Ended · In millions, except per-share amounts
| Concept | Trend | Dec 31, 2024 2024-12-31 | Dec 31, 2023 2023-12-31 |
|---|---|---|---|
| Cash flows from operating activities: | — | — | |
| Net (loss) income of single operating segment | 2 | 3 | |
| Adjustments to reconcile net (loss) income to net cash (used in) provided by operating activities: | — | — | |
| Depreciation Expense | 5 | 4 | |
| Net Cash from Operating Activities | 21,033 | 21,107 | |
| Other Operating Expense | 69,474 | — | |
| Asset Impairment Charges | 1,129 | — | |
| Restructuring Expense | 373 | — | |
| Deferred Income Tax (CF) | — | −92,664 | |
| Gain on disposal of assets | — | 18,724 | |
| Share of losses of associate | 710 | — | |
| Change in assets and liabilities: | — | — | |
| Accounts receivable | −3 | 16 | |
| Inventories, net | −6 | 6 | |
| Due from related parties | 536,841 | 740,331 | |
| Other receivables and current assets | −5 | 9 | |
| Accounts payable and accrued expenses | −45 | 26 | |
| Other payables | −419,027 | 68,039 | |
| Taxes payable | 651,026 | −355,168 | |
| Net Cash from Operating Activities | −6,761 | −21,057 | |
| Net cash (used in) provided by operating activities | −24 | 654,219 | |
| Cash flows from investing activities: | — | — | |
| Purchase of fixed assets | 4 | 3 | |
| Acquisition of investment | 83,089 | 4,388 | |
| Increase investment in subsidiary | 74,120 | — | |
| Proceeds from Sale of PP&E | — | 6,127 | |
| Advance to related parties | −12 | — | |
| Net cash used in investing activities | −16 | −3 | |
| Cash flows from financing activities: | — | — | |
| Net Cash from Financing Activities | — | — | |
| Proceeds from (Repayment to) borrowings | 51 | −3 | |
| Repayment to finance lease payables | 10,216 | 41,328 | |
| Net Cash from Financing Activities | — | 320,485 | |
| Net cash provided by (used in) financing activities | 51 | −2 | |
| Net (decrease) increase in cash and cash equivalents | 11 | −5 | |
| Effect of Exchange Rate on Cash | 635,595 | −1 | |
| Cash and cash equivalents, end of period / year | — | — | |
| Cash and cash equivalents, end of period / year | — | — | |
| Supplemental disclosures of cash flow information | — | — | |
| Income taxes paid | 776,331 | 1 | |
| Supplemental non-cash investing and financing activities | — | — | |
| Net Cash from Financing Activities | 3 | — | |
| Deferred offering costs charged to additional paid-in capital | — | — | |
| Net Cash from Operating Activities | — | 100,771 | |
| Net Cash from Operating Activities | 15,359 | — | |
| Reversal of additional paid-in capital via decrease in related party receivables | 5 | 3 |
Filings
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