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Financial Analysis

Filing-based analysis. Market pricing is not included. Fundamentals from SEC filings; economic data from FRED and the BLS. About our data

Fundamentals

Abacus Global Management, Inc. ABX

· Financials · Investment Advice

FY2025 10-K, filed 2026-03-13
SEC EDGAR

Filing evidence summary

Mixed evidenceCoverage 5/5 core metrics

Latest reported free cash flow was -$27M.

Backward-looking filed evidence under visible rules - not a rating, forecast or investment advice. Missing data is never scored.

Evidence signals

  • Free cash flow was negative

    Latest reported free cash flow was -$27M.

    Why this surfaced

    Free cash flow = operating cash flow minus capital expenditures; positive is supporting evidence, not a valuation conclusion. Period end 2025-12-31.

  • 1 filing risk check flagged

    Flagged areas: Dilution.

    Why this surfaced

    The full financial analysis shows each value, threshold, and sector limitation.

  • Revenue expanded

    Latest reported annual revenue changed +110.2% from the prior reported annual observation.

    Why this surfaced

    Direction threshold: above +2% constructive; below -2% caution; otherwise monitor. This is not labeled one-year growth when filing periods have a gap. Period end 2025-12-31.

  • Operating margin improved

    Operating margin changed +38.5 percentage points from the prior annual period.

    Why this surfaced

    Direction threshold: more than +1 percentage point constructive; below -1 point caution. Period end 2025-12-31.

Core trend metrics

Latest annual revenue growth
+110.2%
as of 2025-12-31
Latest annual operating margin
37.7%
as of 2025-12-31
Free cash flow
-$27M
as of 2025-12-31
Debt / equity
0.97x
as of 2025-12-31
ROIC snapshot
9.7%
period varies

Hover a tile for its exact definition; the Statements tab carries per-cell filing citations.

Where to look next

Risk checks

1of 3 rule-based checks flagged
  • Dilution

Financial movement

  • Cash→ flat
  • Long-term debt→ flat
  • Inventory→ flat
  • Receivables→ flat
  • Current assets→ flat

Source & freshness

Source
SEC EDGAR XBRL
Fetched
2026-09-06
Latest period end
2025-12-31
Filings
EDGAR ↗

Reported segment mix

figures as filed · share of the filed sum · change vs the prior period in the same filing
Fiscal year ending 2025-12-3110-K filed 2026-03-13prior period 2024-12-31 from the same filingView filing
By product or service
Revenue
  • Asset Management1$33.8M
    84.2%
    +836.6% yoy
  • Origination$5.66M
    14.1%
    +3.7% yoy
  • Technology Service$717K
    1.8%
    +2032.7% yoy

Members sum to $40.2M against $235M consolidated (residual $195M) - eliminations or corporate lines the filer did not tag on this axis.

By geography
Revenue
  • United States$202M
    86.0%
    +107.4% yoy
  • LU$29.9M
    12.7%
    +187.3% yoy
  • Other Geographical Location$2.95M
    1.3%
    -25.0% yoy

Members sum to the consolidated $235M for this period.

Latest quarter
Quarter ending 2026-03-3110-Q filed 2026-05-11prior period 2025-03-31 from the same filingView filing
  • Asset Management1$8.46M
    86.8%
    +8.8% yoy
  • Origination$924K
    9.5%
    -62.5% yoy
  • Technology Service$364K
    3.7%
    +438.2% yoy

Change is against the same quarter a year earlier, as reported in the same 10-Q.

Source: SEC DERA Financial Statement and Notes data sets. Dimensional XBRL facts on the business-segment, product/service and geographic axes; the engine keeps the accession of every figure. Descriptive and educational, not advice.

Peer percentiles

latest fiscal year ending 2025-12-31 · among 4,096 US-listed filers · 895 in Financials
MetricValuevs all filersvs sector
Revenue
latest fiscal-year revenue as filed
$235M
35thof 3,301
middle third
42ndof 541
middle third
Revenue growth
latest fiscal-year revenue vs the prior fiscal year
110.2%
95thof 3,135
top third
96thof 518
top third
Gross margin
gross profit ÷ revenue
87.7%
97thof 1,603
top third
82ndof 59
top third
Operating margin
operating income ÷ revenue
37.7%
96thof 2,819
top third
79thof 234
top third
Net margin
net income ÷ revenue
15.5%
81stof 3,263
top third
51stof 534
middle third
Free-cash-flow margin
(operating cash flow − |capex|) ÷ revenue
-11.3%
23rdof 2,679
bottom third
17thof 307
bottom third
Return on equity
net income ÷ stockholders' equity (positive equity only)
8.7%
62ndof 3,577
middle third
49thof 774
middle third
Stock comp ÷ revenue
stock-based compensation ÷ revenue · lower is ranked higher
6.6%
31stof 2,895
bottom third
38thof 422
middle third
Cash conversion
operating cash flow ÷ net income (net income > 0)
-0.7×
4thof 2,108
bottom third
5thof 649
bottom third
Cash-flow accrual ratio
(net income − operating cash flow) ÷ average total assets · lower is ranked higher
7.0%
5thof 3,193
bottom third
4thof 751
bottom third
Balance-sheet accrual ratio
change in net operating assets ÷ average net operating assets · lower is ranked higher
16.3%
31stof 2,719
bottom third
37thof 686
middle third

Each filer's latest fiscal year as stored by the nightly crawl; fiscal year ends differ across the universe. A metric ranks only filers for which it is computable from filed facts. Ties split; a rank reads "better than N% of filers" in the metric's own direction. Descriptive and educational, not a rating.

Earnings quality

latest fiscal year ending 2025-12-31 · accruals and cash conversion as filed
Cash conversion
-0.70×
operating cash flow ÷ net income, latest fiscal year
Cash-flow accrual ratio
7.0%
(net income − operating cash flow) ÷ average total assets
Balance-sheet accrual ratio
16.3%
change in net operating assets ÷ average net operating assets
Cash-backed years
0 of 5
fiscal years where operating cash flow met or exceeded net income
Mean cash conversion
-1.79×
across the stored fiscal years with positive net income

Per fiscal year from filed facts: cash conversion = operating cash flow / net income (net income > 0); cash-flow accrual ratio = (net income - operating cash flow) / average total assets; balance-sheet accrual ratio = change in net operating assets / average net operating assets, NOA = (assets - cash) - (liabilities - debt). Descriptive; a missing input yields a missing ratio. High accrual ratios and cash conversion well below one are the measures the accruals literature associates with less persistent earnings; they are screens to read the cash-flow statement with, not conclusions. The per-year series is part of Pro risk analysis.

Point-in-time ledger

first-reported vs latest filing · periods since 2020-01-01 · 13 changed periods
Line itemPeriodFirst reportedLatest filingChangeFilings
Net income
NetIncomeLoss
quarter 2023-03-31-$144K
10-Q 2023-05-25
$8.09M
10-Q 2024-05-13
+5724.9%first · latest
Net income
NetIncomeLoss
fiscal year 2022-12-31-$644K
10-K 2023-04-18
$31.7M
10-K/A 2024-05-30
+5022.9%first · latest · 3 filings carry it
Net income
NetIncomeLoss
quarter 2020-09-30-$129K
10-Q 2020-11-16
$4.95M
10-Q 2022-02-28
+3950.1%first · latest
Operating cash flow
NetCashProvidedByUsedInOperatingActivities
quarter 2023-03-31-$500K
10-Q 2023-05-25
-$17.4M
10-Q 2024-05-13
-3373.6%first · latest
Net income
NetIncomeLoss
quarter 2022-06-30-$1.13M
10-Q 2022-08-22
$4.68M
10-Q 2023-08-14
+512.7%first · latest · 3 filings carry it
Operating cash flow
NetCashProvidedByUsedInOperatingActivities
fiscal year 2022-12-31-$2.6M
10-K 2023-04-18
$10.7M
10-K/A 2024-05-30
+510.9%first · latest · 3 filings carry it
Total liabilities
Liabilities
balance at 2020-12-31$12.2M
10-K 2021-03-26
$44.9M
10-K 2022-06-22
+267.8%first · latest · 7 filings carry it
Net income
NetIncomeLoss
quarter 2022-09-30-$6.35M
10-Q 2022-11-21
$9.99M
10-Q 2023-11-13
+257.4%first · latest
Goodwill
Goodwill
balance at 2023-06-30$140M
10-Q 2023-08-14
$249M
10-Q 2025-11-07
+77.5%first · latest · 3 filings carry it
Total liabilities
Liabilities
balance at 2022-12-31$18.8M
10-K 2023-04-18
$30.9M
10-K/A 2024-05-30
+64.8%first · latest · 6 filings carry it
Total assets
Assets
balance at 2022-12-31$99.4M
10-K 2023-04-18
$59.1M
10-K/A 2024-05-30
-40.5%first · latest · 6 filings carry it
Operating cash flow
NetCashProvidedByUsedInOperatingActivities
quarter 2024-03-31$2.27M
10-Q 2024-05-13
$2.51M
10-Q 2025-05-08
+10.9%first · latest
Operating cash flow
NetCashProvidedByUsedInOperatingActivities
fiscal year 2023-12-31-$64.5M
10-K 2024-03-21
-$64M
10-K 2025-03-28
+0.7%first · latest · 3 filings carry it

First filing reporting each period vs the latest filing carrying it (10-K and 10-Q only, periods since 2020, the extractor's winning tag per concept); a change under 0.5% is treated as rounding. A change can be a restatement, a reclassification or a re-tagging in a later comparative column; the two filings are linked so the reader can see which. Descriptive, not a verdict.

Notes by disclosure type

Not available for ABX yet: no footnote text blocks on file for this filer in the ingested DERA files.

Fundamentals from SEC EDGAR. Scores, the DCF, and every model shown are educational analysis, not investment advice or price predictions.

Educational content only. Not financial advice. TrendNalysis provides educational and informational financial analysis built from public SEC filings and economic data (FRED, BLS). It is not financial, investment, tax, or legal advice and is not a recommendation to buy or sell any security. Market pricing is not currently included. Past performance does not guarantee future results. Always do your own research and consult a licensed financial professional before investing.