StoneX Group Inc.

StoneX Group Inc.SNEX财报

Nasdaq · 金融 · 证券及商品经纪商、交易商、交易所及服务

StoneX集团是美国知名金融服务企业,核心业务覆盖商业套期保值、全球支付、证券、实物大宗商品、外汇,以及清算与执行服务六大板块,可为全球各类客户提供专业合规的多元化金融服务。

营收

$32.7B

毛利润

$1.2B

营业利润

$109.2M

净利润

$85.7M

毛利率

3.7%

营业利润率

0.3%

净利率

0.3%

同比增长

5.1%

EPS

$0.72

资金流向

StoneX Group Inc. Q4 2025 财务摘要

StoneX Group Inc. Q4 2025营收 $32.7B(同比增长 5.1%),净利润 $85.7M(同比增长 11.7%)(净利率 0.3%)。销售成本 $31.5B,运营费用 $1.1B。

核心财务指标

总营收$32.7B
净利润$85.7M
毛利率3.7%
营业利润率0.3%
报告期Q4 2025

营收拆解

StoneX Group Inc. Q4 2025营收 $32.7B 共来自 13 个业务板块,最大板块 Sales Of Physical Commodities 贡献 $31.6B(占 96.5%)。

业务分部营收占比
Sales Of Physical Commodities$31.6B96.5%
Interest Income Net$524.4M1.6%
Precious Metals Retail Sales$416.7M1.3%
Sales Based Commissions$203.6M0.6%
Exchange Traded Futures And Options$134.0M0.4%
Consulting Management And Account Fees$67.6M0.2%
Clearing Service$65.8M0.2%
Client Account Fees$16.8M0.1%
Asset Management1$16.4M0.1%
Sweep Program Fees$11.1M0.0%
Insurance Annuity Trailing Commissions$4.0M0.0%
Mutual Fund Trailing Commissions$3.4M0.0%
Trade Conversion Fees$2.4M0.0%

StoneX Group Inc. 分部营收 — 季度趋势

StoneX Group Inc. 过去 4 个季度各业务板块营收走势,展示 Sales Of Physical Commodities and Interest Income Net 等业务的变化。

业务分部Q1 2026Q4 2025Q3 2025Q2 2025
Sales Of Physical Commodities$31.6B
Interest Income Net$524.4M
Precious Metals Retail Sales$416.7M$639.0M
Sales Based Commissions$214.0M$203.6M$96.0M$93.0M
Exchange Traded Futures And Options$172.2M$134.0M$71.0M

StoneX Group Inc. 年度营收

StoneX Group Inc. 历年营收汇总,含各年度总量(例如 2025 年营收为 $35.1B)。

年份年营收
2025$35.1B
2024$32.8B
2023$46.8B
2022$66.0B

StoneX Group Inc. 季度营收与净利润历史

StoneX Group Inc. 最近 8 个季度的营收、净利润及同比增速

QuarterRevenueRevenue YoYNet ProfitNet Margin
Q1 2026$1.2B+81.0%$139.0M11.6%
Q4 2025$32.7B+5.1%$85.7M0.3%
Q3 2025$851.2M+48.9%$63.4M7.4%
Q2 2025$820.4M+61.1%$71.7M8.7%
Q1 2025$663.1M+5.7%$85.1M12.8%
Q4 2024$31.1B+87.2%$76.7M0.2%
Q3 2024$571.8M-41.7%$61.9M10.8%
Q2 2024$509.2M-96.8%$53.1M10.4%

利润表

Q2 2024Q3 2024Q4 2024Q1 2025Q2 2025Q3 2025Q4 2025Q1 2026
营收$509.2M$571.8M$31.14B$663.1M$820.4M$851.2M$32.72B$1.20B
同比增长-96.8%-41.7%87.2%5.7%61.1%48.9%5.1%81.0%

资产负债表

Q2 2024Q3 2024Q4 2024Q1 2025Q2 2025Q3 2025Q4 2025Q1 2026
总资产$25.65B$25.93B$27.47B$29.59B$31.28B$34.27B$45.27B$47.78B
总负债$24.11B$24.32B$25.76B$27.81B$29.40B$32.29B$42.89B$45.26B
股东权益$1.54B$1.61B$1.71B$1.78B$1.88B$1.98B$2.38B$2.52B

现金流量表

Q2 2024Q3 2024Q4 2024Q1 2025Q2 2025Q3 2025Q4 2025Q1 2026
经营性现金流$784.0M$-622.1M$192.6M$-477.8M$-154.5M$1.49B$3.53B$-1.26B