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SOUTH DAKOTA SOYBEAN PROCESSORS LLC

CIK: 1163609 SIC: 2070
$503.82M
Revenue
$17.74M
Net Income
4.90%
Gross Margin
3.46%
Op. Margin
$-502.80M
Free Cash Flow
Financial Statements Quarterly (10-Q)
Showing 7 of 44 quarterly reports available
Breakdown Q4 2025
(Dec 31, 2025)
Q3 2025
(Sep 30, 2025)
Q2 2025
(Jun 30, 2025)
Q1 2025
(Mar 31, 2025)
Q4 2024
(Dec 31, 2024)
Q3 2024
(Sep 30, 2024)
Q2 2024
(Jun 30, 2024)
+ Total Revenue $145.44M $129.82M $110.64M $117.91M $125.80M $130.65M $149.72M
Revenue Growth % (YoY) 15.6% -0.6% -26.1% nan% nan% nan% nan%
Cost of Revenue $140.71M $116.04M $110.37M $112.01M $114.58M $128.37M $141.16M
+ Gross Profit $4.73M $13.79M $273.38K $5.91M $11.21M $2.28M $8.56M
Gross Margin % 3.3% 10.6% 0.2% 5.0% 8.9% 1.7% 5.7%
+ Operating Income $2.77M $11.91M $-1.41M $4.18M $9.55M $1.02M $7.06M
Operating Margin % 1.9% 9.2% -1.3% 3.5% 7.6% 0.8% 4.7%
Interest Expense $699.78K $3.59M $2.38M $1.15M $1.83M $4.59M $2.85M
Other Income/Expense $70.79K $263.83K $184.55K $214.62K $485.75K $1.03M $1.50M
+ Net Income $3.58M $10.75M $-973.15K $4.37M $8.79M $23.39K $6.03M
Net Margin % 2.5% 8.3% -0.9% 3.7% 7.0% 0.0% 4.0%
Basic EPS nan 0.35 -0.03 0.14 0.29 0.00 0.20
Diluted EPS nan 0.35 -0.03 0.14 0.29 nan nan
Breakdown Q4 2025
(Dec 31, 2025)
Q3 2025
(Sep 30, 2025)
Q2 2025
(Jun 30, 2025)
Q1 2025
(Mar 31, 2025)
Q4 2024
(Dec 31, 2024)
Q3 2024
(Sep 30, 2024)
Q2 2024
(Jun 30, 2024)
Cash & Cash Equivalents $8.35M $12.61M $7.18M $6.42M $39.59M $59.30M $98.72M
Accounts Receivable $29.29M $31.57M $28.70M $27.76M $29.77M $30.14M $34.61M
Inventory $132.83M $81.91M $64.93M $66.26M $45.08M $75.76M $78.03M
Total Current Assets $183.72M $137.78M $113.39M $109.70M $127.02M $180.23M $226.04M
Property Plant & Equipment $553.39M $534.04M $477.56M $417.90M $359.78M $290.91M $241.86M
Other Non-current Assets $982.69K $982.69K $982.69K $656.00K $656.00K $656.00K $656.00K
Total Assets $842.78M $727.12M $645.12M $582.42M $541.89M $525.46M $512.94M
Accounts Payable $3.16M $1.80M $2.11M $1.77M $3.98M $20.58M $14.64M
Deferred Revenue $14.11M $280.94K $2.50M $6.46M $10.52M - -
Total Current Liabilities $158.34M $103.57M $75.28M $72.84M $102.53M $121.18M $118.22M
Long-term Debt $253.84M $216.27M $197.32M $133.09M $57.67M $46.00M $45.60M
Total Stockholders Equity $341.23M $340.89M $329.92M $332.37M $335.96M $327.35M $326.91M
Total Liabilities & Equity $842.78M $727.12M $645.12M $582.42M $541.89M $525.46M $512.94M
Breakdown Q4 2025
(Dec 31, 2025)
Q3 2025
(Sep 30, 2025)
Q2 2025
(Jun 30, 2025)
Q1 2025
(Mar 31, 2025)
Q4 2024
(Dec 31, 2024)
Q3 2024
(Sep 30, 2024)
Q2 2024
(Jun 30, 2024)
Net Income $3.58M $10.75M $-973.15K $4.37M $8.79M $11.53M $6.03M
Depreciation & Amortization $3.88M $5.96M $3.97M $1.98M $1.98M $4.54M $3.02M
Change in Working Capital $24.78M $29.63M $45.96M $45.70M $-30.20M $1.17M $19.81M
Operating Cash Flow $-21.80M $-17.12M $-38.05M $-39.95M $37.17M $21.22M $-3.14M
Capital Expenditure $43.77M $158.39M $122.92M $60.80M $73.13M $102.57M $69.96M
Purchases of Investments - - - - - - -
Investing Cash Flow $-43.76M $-158.61M $-123.25M $-60.80M $-73.13M $-102.88M $-70.28M
Debt Repayment $14.89M $15.91M $3.25M $3.25M $-11.54M $11.54M $600.00K
Financing Cash Flow $61.30M $148.75M $128.89M $67.57M $16.25M $68.04M $99.23M
Net Change in Cash $-4.26M $-26.98M $-32.42M $-33.18M $-19.70M $-13.61M $25.81M
SEC Filing Format - Data shown as it appears in the Q3 2025 (10-Q) filing Period ended: Sep 30, 2025
Condensed Consolidated Statements of Operations
Description Sep 30, 2025 Sep 30, 2025
Current Prior Year Current YTD Prior Year YTD
Total Revenue $129.82M - $358.38M -
Cost of Revenue $116.04M - $338.41M -
Gross Profit $13.79M - $19.97M -
Operating Income $11.91M - $14.69M -
Interest Expense $1.21M - $3.59M -
Other Income/Expense $263.83K - $663.00K -
Net Income $10.75M $6.64M $14.15M -
Basic EPS 0.35 - 0.47 -
Diluted EPS 0.35 - 0.47 -
Condensed Consolidated Balance Sheets
Description Sep 30, 2025 Dec 31, 2024
Cash & Cash Equivalents $12.61M $39.59M
Accounts Receivable $31.57M $29.77M
Inventory $81.91M $45.08M
Total Current Assets $137.78M $127.02M
Property Plant & Equipment $534.04M $359.78M
Other Non-current Assets $982.69K $656.00K
Total Assets $727.12M $541.89M
Accounts Payable $1.80M $3.98M
Deferred Revenue $280.94K $10.52M
Total Current Liabilities $103.57M $102.53M
Long-term Debt $216.27M $57.67M
Total Stockholders Equity $340.89M $335.96M
Total Liabilities & Equity $727.12M $541.89M
Condensed Consolidated Statements of Cash Flows
Description Sep 30, 2025 Sep 30, 2025
Current Prior Year Current YTD Prior Year YTD
Net Income $10.75M $6.64M $14.15M -
Depreciation & Amortization - - $5.96M -
Change in Working Capital - - $29.63M -
Operating Cash Flow - - $-17.12M -
Capital Expenditure - - $158.39M -
Investing Cash Flow - - $-158.61M -
Debt Repayment - - $15.91M -
Financing Cash Flow - - $148.75M -
Net Change in Cash - - $-26.98M -

All values are in USD (United States Dollars). Data is sourced from SEC EDGAR 10-Q filings.

Quarterly data represents single quarter results (Q1-Q4). Some items may show year-to-date values if quarterly breakdown is unavailable.

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