San Juan Basin Royalty Trust Dossier
Financial Snapshot
Revenue, profitability, returns, debt, and capital allocation
Revenue $0TTM through 31 Dec 2025
Net Income -$387.8KTTM through 31 Dec 2025
Free Cash Flow -$387.8KTTM through 31 Dec 2025
Margins
| Current | |
|---|---|
| Gross Margin | 0.0% |
Returns
-16.9%ROE
-16.8%ROA
Balance Sheet Health
Debt / Equity0.17x
Current Ratio0.06x
Net Debt$364.5K
Cash & Equivalents$23.3K
Quality Metrics
Earnings-Beat Rate25.0%
Dividend
$0.07Per share, FY20260.00%Yield-17.0%5-yr growth
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