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Fusion Fuel Green PLC

HTOO NASDAQ Categories PDF
Utilities · Renewable Utilities · Ireland · Updated May 10, 8:15pm
$2.73
Price
$4.9M
Market Cap
116
Employees
1.74
Beta
John-Paul Backwell
CEO
Business Description

Fusion Fuel Green PLC focuses on the production of hydrogen in Portugal, Southern Europe, and Morocco. The company intends to provide hydrogen generators to clients that operate their own green hydrogen plants; green hydrogen as an output from green hydrogen plants; and operational and monitoring services of green hydrogen plants using fusion fuel hydrogen generators. It serves natural gas networks and grids, ammonia producers, oil refineries, regulators, and related government departments. The company was founded in 2018 and is based in Dublin, Ireland.

Business History
Price Overview
Last updated: May 11, 2026 1:50pm (just now)
$2.87
+0.14 (+5.22%)
Day Range
$2.85 – $3.04
52-Week Range
$2.41 – $13.62
50-Day MA
$3.04
200-Day MA
$3.90
Volume
69,057.00
Analyst Price Targets
Low $7.00
Consensus $7.00
High $7.00
(1 analysts)
Share Structure
Outstanding 1,810,570.00
Float 1,364,827.00
Free Float 75.4%
Normal free float — 75.4% of shares trade freely, ~24.6% held by insiders/institutions
Healthy float typical of established companies. Good liquidity for entering and exiting positions without major price impact.
Small absolute float (1.4M shares) — even with a decent free float %, volume can be thin. Check average daily volume before sizing a position.
Price History (1 Year)
Revenue & Net Income Trend
The directional story — useful even when net income is negative.
Revenue
The top line — total sales before any costs or taxes are subtracted. A measure of how much business the company is doing.
Net Income
The bottom line — profit left after subtracting all expenses, interest, and taxes from revenue. Reflects accounting profitability, but includes non-cash items like depreciation, so it isn't the same as cash earned.
Operating Cash Flow
The real cash generated by the day-to-day business — selling products, paying suppliers, collecting from customers. Calculated from net income by adding back non-cash items and adjusting for timing (unpaid bills, unsold inventory). When OCF consistently lags net income, the reported profit may not be converting to real money.
Period Revenue Net Income Net Margin YoY/QoQ
Key Metrics
API Direct from provider CALC Derived from statements
P/E Ratio (Price per dollar of earnings)
CALC
Stock Price / EPS (Diluted)
-3.64
Stock Price: $2.73
EPS (Diluted): -0.75
P/B Ratio (Price vs net asset value)
API
Stock Price / Book Value Per Share
0.23
Stock Price: $2.73
Total Equity: $12.79M
Shares: 18,476,000
EV/EBITDA (Total value vs operating profit)
API
Enterprise Value / EBITDA
-0.68
Market Cap: $4.94M
Total Debt: $2.00M
Cash: $214,000
EBITDA: -$10.54M
Enterprise Value (Takeover price (cap + debt - cash))
API
Market Cap + Total Debt - Cash
$5.4M
Market Cap: $4.94M
Total Debt: $2.00M
Cash: $214,000
Gross Margin (Revenue left after direct costs)
API
Gross Profit / Revenue
27.9%
Gross Profit: $437,000
Revenue: $1.61M
Operating Margin (Revenue left after all operations)
API
Operating Income / Revenue
-64.2%
Operating Income: -$17.18M
Revenue: $1.61M
Net Margin (Revenue left as actual profit)
API
Net Income / Revenue
-11.8%
Net Income: -$13.79M
Revenue: $1.61M
ROE (Profit from shareholder equity)
API
Net Income / Total Equity
-11.2%
Net Income: -$13.79M
Total Equity: $12.79M
ROIC (Profit from all invested capital)
API
NOPAT / Invested Capital
-30.9%
Operating Income: -$17.18M
Tax Rate: -0.2%
Equity: $12.79M
Total Debt: $2.00M
Cash: $214,000
Current Ratio (Can it pay short-term bills)
API
Current Assets / Current Liabilities
0.53
Current Assets: $7.00M
Current Liabilities: $13.01M
Debt/Equity (Leverage — debt vs equity)
CALC
Total Debt / Total Equity
0.16
Short-Term Debt: $2.00M
Long-Term Debt: $0.00
Total Debt: $2.00M
Total Equity: $12.79M
Rev/Share (Top-line per share)
CALC
Revenue / Shares Outstanding
$0.09
Revenue: $1.61M
Shares: 18,476,000
Book Value/Share (Net assets per share)
CALC
(Total Assets - Total Liabilities) / Shares
$0.69
Total Equity: $12.79M
Shares: 18,476,000
FCF/Share (Real cash generated per share)
CALC
(Operating Cash Flow + CapEx) / Shares
$-0.46
Operating CF: -$8.28M
CapEx: -$190,000
Shares: 18,476,000
CapEx is negative (outflow) — added to OCF to get FCF
Div Yield (Annual income from holding)
API
Last Annual Dividend / Stock Price
0.0%
Last Dividend: N/A
Stock Price: $2.73
Payout Ratio (Earnings paid out as dividends)
Dividends Paid / Net Income
Dividends Paid: N/A
Net Income: -$13.79M
Dividends paid not available in cash flow statement
Industry Benchmarks
Compares HTOO against LLM-researched typical ranges for its industry. One research call per industry, cached indefinitely — every stock in the same industry reuses the same baseline.
Deep Analysis

Pre-flight intelligence scans the company first, then routes to the right analytical methods.

0 Company Classification — What type of company is this?
1 Industry Landscape — Where is the industry headed?
2 Company Momentum — Where is this company trending?
3 Forward Projection — 1Y & 2Y projected metrics (requires Layer 1 + 2)
4a DCF Valuation — Present value of future cash flows
4b Earnings Power Value — Floor value — worth with zero growth
4c Anchored PE — Industry PE adjusted for growth differential
4d Reverse DCF — What growth is the market pricing in?
4e Revenue-Based DCF — For growth/narrative companies (skip if mature earner)
4f Anchored P/S — Price-to-Sales peer comparison (skip if mature earner)
4g Scenario Analysis — Bull / Base / Bear (skip if mature earner)
4h Dividend Discount Model — For dividend/income stocks only
4i Book Value Analysis — For deep value / turnaround stocks only
4j Insider Activity — Are insiders buying or selling?
4f Cash Flow Quality — How trustworthy is the FCF?
4g Debt Maturity Risk — Can it handle its debt?
4h Macro Environment — Rates, market valuation, volatility
4i Sector Intelligence — How does this company compare within its sector?
4j Revenue Confidence — How reliable is the growth projection?
4k Sensitivity Analysis — How fragile is the fair value estimate?
4l Sector Demand Cycle — Is the sector in a boom, steady state, or contraction?
5 AI Investigation — Adaptive research engine (Claude)
5b Thesis Evaluation — What does the market believe? (narrative/platform stocks only)
6 Valuation Synthesis — Weighted verdict from all methods (requires Layer 4)
Income Statement (Annual)
Metric 2020 2021 2022 2023 2024
Revenue $0 $0 $0 $4.1M $1.6M
Cost of Revenue $0 $365,000 $8.8M $20.1M $1.2M
Gross Profit $0 $-365,000 -$8.8M -$15.9M $437,000
Operating Expenses $4.8M $6.9M $26.0M $21.1M $17.6M
Operating Income -$4.8M -$6.9M -$34.7M -$37.1M -$17.2M
Net Income -$183.1M $23.6M -$27.3M -$31.0M -$13.8M
EBITDA -$178.3M -$6.8M -$31.2M -$27.8M -$10.5M
EPS $-68.53 $1.80 $-2.05 $-2.12 $-0.75
EPS (Diluted)
Balance Sheet (Annual)
Metric 2020 2021 2022 2023 2024
Cash & Equivalents $58.0M $7.7M $5.2M $860,000 $214,000
Total Current Assets $60.2M $47.3M $38.7M $11.3M $7.0M
Total Assets $62.4M $69.2M $65.4M $42.4M $28.1M
Current Liabilities $55.1M $19.3M $25.4M $20.4M $13.0M
Long-Term Debt $0 $0 $0 $0 $0
Total Liabilities $55.1M $19.7M $36.0M $39.6M $17.4M
Total Equity $7.4M $49.5M $29.4M $2.7M $12.8M
Retained Earnings -$188.1M -$164.4M -$191.8M -$222.8M -$236.4M
Cash Flow (Annual)
Metric 2020 2021 2022 2023 2024
Operating Cash Flow -$4.2M -$14.7M -$29.9M -$9.2M -$8.3M
Capital Expenditure -$1.4M -$18.8M -$10.7M -$8.6M $-190,000
Free Cash Flow -$5.6M -$33.4M -$40.5M -$17.8M -$8.5M
Acquisitions (net) -$1.2M $-629,000 $-250,000 $-245,000 $0
Debt Repayment
Dividends Paid
Stock Buybacks $0 $0 $0 $0 $0
Net Change in Cash $58.0M -$50.3M -$2.4M -$4.4M $-933,000
Analyst Estimates (Annual)
Metric 2025 2026 2027 2028
Revenue $60.5M
$60.5M – $60.5M
$88.9M
$88.9M – $88.9M
$78.3M
$78.3M – $78.3M
$86.2M
$86.2M – $86.2M
EBITDA -$7.8M
-$7.8M – -$7.8M
-$11.4M
-$11.4M – -$11.4M
-$10.1M
-$10.1M – -$10.1M
-$11.1M
-$11.1M – -$11.1M
Net Income -$13.1M
-$13.1M – -$13.1M
-$6.6M
-$6.6M – -$6.6M
$5.3M
$5.3M – $5.3M
$9.2M
$9.2M – $9.2M
EPS
Growth Trends (YoY %)
Metric 2021 2022 2023 2024
Revenue Growth -61.3%
Gross Profit Growth -2,301.4% -81.9% +102.7%
Operating Income Growth -43.1% -407.2% -6.7% +53.6%
Net Income Growth +112.9% -216.1% -13.4% +55.6%
EBITDA Growth +96.2% -357.9% +11.1% +62.0%
Insider Trading (Recent)
Date Insider Type Shares Price Value
2026-03-18 Gold Steven 0.00 $0.00 $0
2026-03-18 Crosby Pierce 0.00 $0.00 $0
2025-10-12 Ingargiola Luisa 29,240.00 $4.53 $132,457
2026-03-18 Figueira de Chaves Frederico 0.00 $0.00 $0
2026-03-18 Figueira de Chaves Frederico 5,715.00 $367.50 $2.1M
2026-03-18 Figueira de Chaves Frederico 400,000.00 $4.53 $1.8M
2024-05-10 Figueira de Chaves Frederico 286.00 $0.00 $0
2026-03-18 Backwell John-Paul 219,991.00 $0.00 $0
2026-03-18 Backwell John-Paul 400,000.00 $4.53 $1.8M
2026-03-18 Passin James 0.00 $0.00 $0
2025-10-03 Ilustrato Pictures International Inc. D-Return 500.00 $2,250.00 $1.1M
2025-10-03 Ilustrato Pictures International Inc. D-Return 500.00 $2,500.00 $1.3M
2025-10-01 Ilustrato Pictures International Inc. D-Return 500.00 $2,182.00 $1.1M
2025-09-29 Ilustrato Pictures International Inc. D-Return 500.00 $2,261.40 $1.1M
2025-09-25 Ilustrato Pictures International Inc. D-Return 500.00 $2,500.00 $1.3M
2025-09-25 Ilustrato Pictures International Inc. D-Return 500.00 $2,750.00 $1.4M
2025-09-26 Ilustrato Pictures International Inc. D-Return 500.00 $2,387.95 $1.2M
2025-09-26 Ilustrato Pictures International Inc. D-Return 614.00 $3,004.93 $1.8M
2025-09-23 Ilustrato Pictures International Inc. D-Return 1,000.00 $5,125.00 $5.1M
2025-09-24 Ilustrato Pictures International Inc. D-Return 500.00 $2,500.00 $1.3M
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My Notes personal — only you see this
Data via Financial Modeling Prep · Cached for performance · fmp
v1.1.193 · 1946f027 · 2026-05-08 18:57:27