ABAT — American Battery Technology Company $2.83

Generated 2026-06-30 21:50

Quality Scorecard Growth

D50/100
Pricing power (gross margin) -43% Gross margin -43% — thin margins
Return on equity -71% ROE -71% — low returns on capital
Leverage (net debt / EBITDA) net cash Net cash — $0.0B more cash than debt
Interest coverage -2161x EBIT covers interest -2161x — thin coverage
Earnings consistency (revenue) 0/3 down 0 revenue-down year(s) in 3 — no down years
Earnings growth (net income YoY) +11% Net income +11% YoY — earnings growing
Cash conversion (CFO/NI) data unavailable
Operating margin trend improving Operating margin improving
Revenue growth 697% Revenue +697% — strong demand growth
Growth trajectory data unavailable
Dilution control +60.0%/yr Shares +60.0% YoY — heavy dilution (stock-based comp)
Rule of 40 -36 growth 697% + FCF margin -734% = -36 — below 40

Growth-stage checklist (proxy metrics from yfinance). 10 of 12 criteria scored. Not financial advice.

Buy-Now Score

80/100
Quality ×40%50
Trajectory ×30%100
Valuation ×30%100

Comparative rank: 40% Quality + 30% Trajectory + 30% Valuation — higher = better buy now. Not financial advice.

Valuation

$2.55$7.15
Price $2.83Analyst $6.50 (+130%)

Analyst: 2 analysts. MarketGist fair = analyst consensus only (no DCF — financial, or no free-cash-flow data). Not financial advice.

Key Trends (6-yr)

GAAP EPS
▲ +43.1% YoY
Sales
▲ +1149.0% YoY
Shares Outstanding
▲ +56.7% YoY

Company Overview

Basic Information

Company Name: American Battery Technology Company
Symbol: ABAT
Exchange: NCM
Sector: Industrials
Industry: Waste Management

Company Details

Country: United States
City: Reno
Employees: 157
Market Cap: $386.05M

Business Description

American Battery Technology Company operates as a battery materials company in the United States. It explores for resources of battery metals, such as lithium, nickel, cobalt, and manganese; and develops and commercializes technologies for the extraction and refining of battery metals. It also commercializes an integrated process for the recycling of lithium-ion batteries. The company was formerly known as American Battery Metals Corporation and changed its name to American Battery Technology Company in August 2021. American Battery Technology Company was incorporated in 2011 and is headquartered in Reno, Nevada.

Key Metrics

Price & Valuation

Current Price
$2.83
Market Cap
$386.05M
P/E Ratio
N/A
Forward P/E
-20.21
PEG Ratio
N/A
Price to Book
3.32

Profitability

Profit Margin: 0.00%
Operating Margin: -440.46%
Gross Margin: -42.67%
Return on Equity (ROE): -71.30%
Return on Assets (ROA): -39.68%
Revenue Growth: 697.10%

Financial Health

Current Ratio: 8.12
Quick Ratio: 6.91
Debt to Equity: 0.20
Total Debt: $220.59K
Total Cash: $37.69M
Beta: 1.13

Trading & Analyst Info

52-Week Range

52-Week High: $11.49
52-Week Low: $1.54
50-Day Average: $3.27
200-Day Average: $3.90

Analyst Recommendations

Recommendation: NONE
Target Mean Price: $6.50
Target High: $7.00
Target Low: $6.00

Price graph

Price vs Rates, Inflation & Volume (long-term)

Dotted = market-implied expectation (next ~12 mo), not a prediction.

Quarterly Verdict

🟡 65/100

Hold / watch

Quality grade D; 5 improving / 2 weakening metrics YoY.

➖ Pricing power (gross margin): Gross margin -43% — thin margins
➖ Return on equity: ROE -71% — low returns on capital
➕ Leverage (net debt / EBITDA): Net cash — $0.0B more cash than debt
➖ Interest coverage: EBIT covers interest -2161x — thin coverage
➕ Earnings consistency (revenue): 0 revenue-down year(s) in 3 — no down years
➕ Earnings growth (net income YoY): Net income +11% YoY — earnings growing
➕ Operating margin trend: Operating margin improving
➕ Revenue growth: Revenue +697% — strong demand growth
➖ Dilution control: Shares +60.0% YoY — heavy dilution (stock-based comp)
➖ Rule of 40: growth 697% + FCF margin -734% = -36 — below 40
➕ Revenue +697.1% YoY
➖ Net income -194.3% YoY
➕ Operating margin +645.8 pts YoY
➕ Free cash flow +5.2% YoY
➕ Cash +1222.6% YoY
➕ Debt -96.9% YoY
➖ Shares outstanding +49.6% YoY

Heuristic from the Quality Scorecard + quarter-over-quarter trends. Not financial advice.

Financial Statements

Income Statement (Annual)

Item2025-06-302024-06-302023-06-302022-06-30
Tax Effect Of Unusual Items$0.00$0.00$0.00$0.00
Tax Rate For Calcs$0.00$0.00$0.00$0.00
Normalized EBITDA$-40.20M$-39.91M$-22.15M$-33.36M
Total Unusual Items$-1.39M$-10.66M$288.63K$-62.37K
Total Unusual Items Excluding Goodwill$-1.39M$-10.66M$288.63K$-62.37K
Net Income From Continuing Operation Net Minority Interest$-46.76M$-52.50M$-22.19M$-33.54M
Reconciled Depreciation$5.16M$1.78M$197.73K$114.63K
Reconciled Cost Of Revenue$14.86M$3.30M$0.00N/A
EBITDA$-41.58M$-50.56M$-21.86M$-33.43M
EBIT$-46.74M$-52.34M$-22.06M$-33.54M
Net Interest Income$-3.80M$-4.35M$-128.56K$-20.00
Interest Expense$19.45K$158.08K$128.56K$20.00
Normalized Income$-45.38M$-41.85M$-22.48M$-33.48M
Net Income From Continuing And Discontinued Operation$-46.76M$-52.50M$-22.19M$-33.54M
Total Expenses$46.31M$37.86M$22.43M$33.55M

Showing 15 of 47 rows

Balance Sheet (Annual)

Item2025-06-302024-06-302023-06-302022-06-30
Ordinary Shares Number$97.40M$64.06M$45.89M$42.94M
Share Issued$97.40M$64.06M$45.89M$42.94M
Net Debt$255.45KN/A$3.68MN/A
Total Debt$8.04M$6.50M$6.18M$275.56K
Tangible Book Value$69.83M$56.95M$57.02M$45.78M
Invested Capital$78.33M$67.92M$66.87M$49.63M
Working Capital$15.86M$2.61M$-8.98M$26.84M
Net Tangible Assets$69.83M$56.95M$57.02M$45.78M
Capital Lease Obligations$306.03K$54.30K$175.79K$275.56K
Common Stock Equity$70.60M$61.47M$60.87M$49.63M
Total Capitalization$70.60M$61.47M$60.87M$49.63M
Total Equity Gross Minority Interest$70.60M$61.47M$60.87M$49.63M
Stockholders Equity$70.60M$61.47M$60.87M$49.63M
Other Equity Interest$925.08K$-857.47K$-1.48M$75.00K
Retained Earnings$-260.09M$-213.33M$-160.83M$-138.64M

Showing 15 of 61 rows

Cash Flow Statement (Annual)

Item2025-06-302024-06-302023-06-302022-06-30
Free Cash Flow$-31.47M$-29.43M$-28.20M$-25.26M
Repayment Of Debt$-7.48M$-24.00M$0.00$0.00
Issuance Of Debt$9.90M$20.29M$6.00M$0.00
Issuance Of Capital Stock$33.58M$38.06M$17.42M$40.93M
Capital Expenditure$-2.55M$-12.69M$-14.84M$-15.08M
Interest Paid Supplemental Data$19.45K$29.01K$128.56K$20.00
End Cash Position$12.47M$7.00M$2.32M$28.99M
Beginning Cash Position$7.00M$2.32M$28.99M$12.84M
Changes In Cash$5.47M$4.68M$-26.67M$16.15M
Financing Cash Flow$36.94M$34.39M$23.42M$41.41M
Cash Flow From Continuing Financing Activities$36.94M$34.39M$23.42M$41.41M
Net Other Financing Charges$540.90KN/AN/A$-2.16M
Proceeds From Stock Option Exercised$404.61K$37.50K$0.00$605.42K
Cash Dividends PaidN/AN/A$0.00$-125.70K
Net Preferred Stock Issuance$15.00M$0.00N/AN/A

Showing 15 of 54 rows

Data via yfinance. Prices may be delayed. · Privacy

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