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Indonesia Energy Corporation Limited (INDO) Releases Q4 2025 Earnings: Heavy Net Loss, Revenue Falls, Cash Rises

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Indonesia Energy Corporation Limited (INDO) reported Q4 2025 results with the following income-statement highlights:

  • Revenue of $471.5 million (down 22.96% year-over-year).
  • Gross loss of -$120.0 million (improved 77.27% year-over-year).
  • Operating loss of -$1.079 billion (worse by 46.63% year-over-year).
  • Net loss attributable to common shareholders of -$1.138 billion (down 46.4% year-over-year).
  • Diluted loss per share of -$0.08 (worsened 44.83% year-over-year).
  • Cash-flow and balance-sheet items worth noting:

  • Net cash used in operating activities of -$1.461 billion (improved 22.48% year-over-year).
  • Purchases of property, plant and equipment of -$919.0 million (flat year-over-year).
  • Cash and cash equivalents of $5.459 billion (up 19.36% year-over-year).
  • Total liabilities of $3.097 billion (down 16.83% year-over-year).
  • Overall, INDO delivered materially lower revenue and continued to report large losses at the operating and net levels, while cash balances increased and leverage declined year-over-year.

    Note: This financials data is sourced from a third-party provider and has not been independently verified by Quiver.

    Indonesia Energy Corporation Limited Hedge Fund Activity

    We have seen 6 institutional investors add shares of Indonesia Energy Corporation Limited stock to their portfolio, and 5 decrease their positions in their most recent quarter.

    Here are some of the largest recent moves:

    • XTX TOPCO LTD added 30,574 shares (+inf%) to their portfolio in Q4 2025, for an estimated $89,581
    • R SQUARED LTD removed 28,707 shares (-62.7%) from their portfolio in Q1 2026, for an estimated $98,752
    • JANE STREET GROUP, LLC removed 26,699 shares (-100.0%) from their portfolio in Q4 2025, for an estimated $78,228
    • THOMPSON DAVIS & CO., INC. added 15,300 shares (+inf%) to their portfolio in Q1 2026, for an estimated $52,632
    • TWO SIGMA INVESTMENTS, LP removed 12,054 shares (-40.3%) from their portfolio in Q4 2025, for an estimated $35,318
    • VIRTU FINANCIAL LLC added 5,054 shares (+50.2%) to their portfolio in Q4 2025, for an estimated $14,808
    • MORGAN STANLEY removed 3,602 shares (-83.0%) from their portfolio in Q4 2025, for an estimated $10,553

    To track hedge funds' stock portfolios, check out Quiver Quantitative's institutional holdings dashboard. You can access data on hedge funds moves and 13F filings through the Quiver Quantitative API.

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