ANGX
Angel Studios, Inc.
Communication Services · Entertainment
NYSE
$3.03
52W $3 – $20
P/E TTM
-0.32
PEG
P/FCF
P/Book
1.6×
P/Sales
EV/EBITDA
EV/FCF
1.6×
EV/Sales
Div Yield
-53.0%
Net Margin
-26.1%
FCF Margin
-203.5%
ROIC
$3.03
USDFY2025FY2024FY2023FY2022FY2021
Revenue321.56M96.52M202.44M75.52M
YoY Growth+233.2%-52.3%+168.1%
Gross Profit196.70M54.45M116.40M35.12M
Gross Margin61.2%56.4%57.5%46.5%
R&D14.36M13.91M12.35M
SG&A335.18M128.33M94.34M32.11M85,992
EBIT(154.01M)(84.07M)9.97M(13.78M)2.94M
EBIT Margin-47.9%-87.1%4.9%-18.2%
D&A1.68M1.58M1.12M
EBITDA(154.01M)(82.38M)11.56M(12.66M)2.94M
EBITDA Margin-47.9%-85.4%5.7%-16.8%
Net Income(170.48M)(89.80M)9.16M(13.71M)2.33M
Net Margin-53.0%-93.0%4.5%-18.2%
EPS (diluted)$-1.10$-0.56$0.06$-0.09$0.08
Shares (dil., M)15516116116129

Company Brief

Angel Studios, Inc. produce and distribute films and television shows by creators through its streaming platform. The company's platform allows users to watch movies, shows, and documentaries for all ages. In addition, the company sells physical media, such as DVD, Blu-ray discs, and various books online; and provides content licensing services. The platform allows fans to invest in and promote productions, fostering a community-driven approach to content creation. Angel Studios, Inc. was formerly known as VidAngel, Inc. and changed its name to Angel Studios, Inc. in March 2021. The company was founded in 2013 and is based in Provo, Utah.

CEONeal S. HarmonEmployees219IPO Date2025-09-11CountryUSWebsitewww.angel.com
Profitability (TTM)
Gross Margin61.7%
EBITDA Margin-47.3%
EBIT Margin-47.5%
Net Margin-53.0%
FCF Margin-26.1%
ROE12763.3%
ROIC-203.5%
ROA-70.6%
ROCE-718.9%
Asset Turnover1.33×
Capital Efficiency (TTM)
ROIC-203.5%
ROE12763.3%
ROA-70.6%
ROCE-718.9%
Asset Turnover1.33×
FCF Margin-26.1%
Net Margin-53.0%
Ownership
Insider buys (12m)
Insider sells (12m)
Float52.3%
Shares Out.169.5M
Analyst Price Targets
Mean Target$9.00
Median Target$9.00
High Target$9
Low Target$9
vs. Mean+197.0%
Buy / Hold / Sell
Balance Sheet
Cash & ST Invest.$44.1M
Total Debt$58.8M
Net Cash / (Debt)-$14.7M
Total Assets$241.4M
Total Equity-$31.4M
Goodwill & Intang.$50.0M
Tangible Book/sh$-0.45
Liquidity & Leverage
Current Ratio0.62×
Quick Ratio0.61×
D/E Ratio-1.87×
Debt / Assets24.4%
Net Debt / EBITDA-0.10×
Interest Coverage-13.61×
Beta (5yr)0.08
Growth (CAGR)
Revenue 1yr+233.2%
Revenue 3yr+62.1%
Revenue 5yr+62.1%
EPS 1yr-29.5%
EPS 3yr-29.5%
EPS 5yr-29.5%
FCF 5yr+572.2%
Dividend 5yr
Dividends

No dividend paid.

Capital Allocation (last FY)
Capex$509K
Capex / Revenue0.2%
SBC$0
Dividends Paid$0
Buybacks$438K
Data: Financial Modeling Prep · Not investment adviceUpdated 3/31/2026