ATEX
Anterix Inc.
Communication Services · Telecommunications Services
NASDAQ
$38.52
52W $18 – $41
8.8×
P/E TTM
-0.60
PEG
P/FCF
3.1×
P/Book
121.3×
P/Sales
EV/EBITDA
EV/FCF
112.7×
EV/Sales
Div Yield
1370.9%
Net Margin
-786.7%
FCF Margin
20.8%
ROIC
$38.52
USDFY2025FY2024FY2023FY2022FY2021
Revenue6.03M4.19M1.92M1.08M921,000
YoY Growth+43.9%+118.4%+77.0%+17.7%
Gross Profit6.03M4.19M1.92M1.08M(685,000)
Gross Margin100.0%100.0%100.0%99.5%-74.4%
R&D5.74M5.70M4.44M3.59M4.34M
SG&A48.78M50.12M50.91M43.99M42.24M
EBIT(49.03M)(52.47M)(54.85M)(47.95M)(50.80M)
EBIT Margin-813.0%-1251.9%-2858.3%-4423.4%-5516.3%
D&A548,000844,0001.42M1.45M3.53M
EBITDA(48.48M)(51.62M)(53.43M)(46.50M)(47.27M)
EBITDA Margin-803.9%-1231.7%-2784.3%-4289.7%-5132.7%
Net Income(11.37M)(9.13M)(16.32M)(37.52M)(54.43M)
Net Margin-188.6%-217.8%-850.3%-3461.2%-5910.3%
EPS (diluted)$-0.61$-0.49$-0.87$-2.07$-3.13
Shares (dil., M)1919191817

Company Brief

Anterix Inc. operates as a wireless communications company. The company focuses on commercializing its spectrum assets to enable the targeted utility and critical infrastructure customers to deploy private broadband networks, technologies, and solutions. It holds licensed spectrum in the 900 MHz band with coverage throughout the United States, Alaska, Hawaii, and Puerto Rico. The company was formerly known as pdvWireless, Inc. and changed its name to Anterix Inc. in August 2019. Anterix Inc. was incorporated in 1997 and is headquartered in Woodland Park, New Jersey.

CEOScott A. LangEmployees86IPO Date2015-02-03CountryUSWebsitewww.anterix.com
Profitability (TTM)
Gross Margin100.0%
EBITDA Margin-696.1%
EBIT Margin-703.4%
Net Margin1370.9%
FCF Margin-786.7%
ROE39.8%
ROIC20.8%
ROA19.5%
ROCE21.9%
Asset Turnover0.01×
Capital Efficiency (TTM)
ROIC20.8%
ROE39.8%
ROA19.5%
ROCE21.9%
Asset Turnover0.01×
FCF Margin-786.7%
Net Margin1370.9%
Ownership
Insider buys (12m)4 / 8K sh
Insider sells (12m)1 / 7K sh
Float96.6%
Shares Out.18.7M
Analyst Price Targets
Mean Target
Median Target
High Target
Low Target
vs. Mean
Buy / Hold / Sell
Balance Sheet
Cash & ST Invest.$47.4M
Total Debt$5.4M
Net Cash / (Debt)$42.0M
Total Assets$333.1M
Total Equity$156.6M
Goodwill & Intang.$229.0M
Tangible Book/sh$-5.08
Liquidity & Leverage
Current Ratio1.39×
Quick Ratio1.39×
D/E Ratio0.03×
Debt / Assets1.9%
Net Debt / EBITDA0.73×
Interest Coverage0.00×
Beta (5yr)0.74
Growth (CAGR)
Revenue 1yr+43.9%
Revenue 3yr+77.2%
Revenue 5yr+60.0%
EPS 1yr
EPS 3yr
EPS 5yr
FCF 5yr
Dividend 5yr
Dividends

No dividend paid.

Capital Allocation (last FY)
Capex$18.2M
Capex / Revenue301.5%
SBC$13.5M
Dividends Paid$0
Buybacks$8.4M
Data: Financial Modeling Prep · Not investment adviceUpdated 3/31/2026