Symbols / VIASP Stock $25.52 -0.18% Via Renewables, Inc.

Utilities • Utilities - Regulated Electric • United States • NMS
VIASP (Stock) Chart
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About

Via Renewables, Inc., through its subsidiaries, operates as an independent retail energy services company in the United States. The company engages in the transmission and sale of electricity to residential and commercial customers. It is also involved in the transportation, distribution, and sale of natural gas to residential and commercial customers. In addition, the company provides broker services for retail energy customers; and wireless services and equipment to wireless customers. It offers its services under the Electricity Maine, Electricity N.H., Major Energy, Provider Power Massachusetts, Spark Energy, and Verde Energy brand names. Via Renewables, Inc. was formerly known as Spark Energy, Inc. and changed its name to Via Renewables, Inc. in August 2021. The company was founded in 1999 and is headquartered in Houston, Texas. Via Renewables, Inc operates as a subsidiary of NuRetailco LLC.

Stock Fundamentals
Scroll to Statements
Market Cap Enterprise Value 236.75M Income 10.05M Sales 463.45M Book/sh 17.85 Cash/sh 12.30
Dividend Yield 10.49% Payout Employees IPO P/E 21.81 Forward P/E
PEG P/S P/B 1.43 P/C EV/EBITDA 3.14 EV/Sales 0.51
Quick Ratio 1.80 Current Ratio 2.54 Debt/Eq 89.46 LT Debt/Eq EPS (ttm) 1.17 EPS next Y
EPS Growth -46.10% Revenue Growth 22.50% Earnings ROA 9.90% ROE 23.86% ROIC
Gross Margin 30.56% Oper. Margin 15.16% Profit Margin 4.13% Shs Outstand Shs Float Short Float
Short Ratio 1.85 Short Interest 52W High 26.68 52W Low 23.06 Beta Avg Volume 3.26K
Volume 4.53K Target Price Recom None Prev Close $25.57 Price $25.52 Change -0.18%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
Mean price target
2. Current target
$25.52
Latest analyst target
3. DCF / Fair value
$17.55
Fallback: EPS × 15 (assumed fair P/E). No FCF data; use with …
Ratings
Current target
$25.52
Low
High
Mean
Insider Transactions

No recent insider transactions.

Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
463.45
+16.19%
398.87
-8.35%
435.19
-5.49%
460.49
Operating Revenue
467.18
+16.96%
399.42
-9.09%
439.36
-5.07%
462.81
Cost Of Revenue
321.81
+39.44%
230.79
-25.73%
310.74
-12.98%
357.10
Reconciled Cost Of Revenue
321.81
+39.44%
230.79
-25.73%
310.74
-12.98%
357.10
Gross Profit
141.64
-15.73%
168.08
+35.06%
124.45
+20.36%
103.40
Operating Expense
88.11
+5.02%
83.90
+7.60%
77.98
-0.84%
78.64
Selling General And Administration
66.29
-10.97%
74.45
+8.10%
68.87
+11.21%
61.93
General And Administrative Expense
66.29
-10.97%
74.45
+8.10%
68.87
+11.21%
61.93
Other Gand A
66.29
-10.97%
74.45
+8.10%
68.87
+11.21%
61.93
Total Expenses
409.92
+30.26%
314.69
-19.04%
388.72
-10.79%
435.73
Operating Income
53.53
-36.41%
84.18
+81.14%
46.47
+87.68%
24.76
Total Operating Income As Reported
53.53
-36.41%
84.18
+81.14%
46.47
+87.68%
24.76
EBITDA
73.11
-20.29%
91.72
+72.35%
53.22
+37.05%
38.83
Normalized EBITDA
73.11
-20.29%
91.72
+72.35%
53.22
+37.05%
38.83
Reconciled Depreciation
21.82
+131.04%
9.45
+3.78%
9.10
-45.51%
16.70
EBIT
51.29
-37.67%
82.28
+86.50%
44.12
+99.37%
22.13
Total Unusual Items
Total Unusual Items Excluding Goodwill
Special Income Charges
Net Income
19.15
-32.22%
28.25
+88.68%
14.97
+97.61%
7.58
Pretax Income
46.11
-40.38%
77.33
+107.62%
37.25
+110.60%
17.69
Net Non Operating Interest Income Expense
-7.42
-8.49%
-6.84
+25.81%
-9.22
-30.39%
-7.08
Interest Expense Non Operating
5.18
+4.81%
4.94
-28.04%
6.87
+54.64%
4.44
Net Interest Income
-7.42
-8.49%
-6.84
+25.81%
-9.22
-30.39%
-7.08
Interest Expense
5.18
+4.81%
4.94
-28.04%
6.87
+54.64%
4.44
Interest Income Non Operating
0.09
-7.07%
0.10
-9.17%
0.11
-15.50%
0.13
Interest Income
0.09
-7.07%
0.10
-9.17%
0.11
-15.50%
0.13
Gain On Sale Of Business
Tax Provision
10.52
-35.28%
16.26
+45.93%
11.14
+71.86%
6.48
Tax Rate For Calcs
0.00
+8.56%
0.00
-29.72%
0.00
-19.15%
0.00
Tax Effect Of Unusual Items
0.00
0.00
0.00
0.00
Net Income Including Noncontrolling Interests
35.58
-41.74%
61.08
+133.96%
26.11
+133.02%
11.20
Net Income From Continuing Operation Net Minority Interest
19.15
-32.22%
28.25
+88.68%
14.97
+97.61%
7.58
Net Income From Continuing And Discontinued Operation
19.15
-32.22%
28.25
+88.68%
14.97
+97.61%
7.58
Net Income Continuous Operations
35.58
-41.74%
61.08
+133.96%
26.11
+133.02%
11.20
Minority Interests
-16.43
+49.93%
-32.82
-194.88%
-11.13
-207.03%
-3.62
Normalized Income
19.15
-32.22%
28.25
+88.68%
14.97
+97.61%
7.58
Net Income Common Stockholders
10.05
-44.21%
18.01
+313.43%
4.36
+1015.13%
-0.48
Diluted NI Availto Com Stockholders
10.05
-44.21%
18.01
+313.43%
4.36
+1015.13%
-0.48
Average Dilution Earnings
0.00
0.00
0.00
Depreciation Amortization Depletion Income Statement
21.82
+131.04%
9.45
+3.78%
9.10
-45.51%
16.70
Depreciation And Amortization In Income Statement
21.82
+131.04%
9.45
+3.78%
9.10
-45.51%
16.70
Preferred Stock Dividends
9.10
-11.17%
10.25
-3.51%
10.62
+31.85%
8.05
Total Other Finance Cost
2.34
+16.80%
2.00
-18.86%
2.46
-10.75%
2.76
Line Item Trend 2023-12-31 2022-12-31 2021-12-31
Total Assets
303.83
-8.19%
330.95
Current Assets
158.97
-11.15%
178.93
Cash Cash Equivalents And Short Term Investments
42.59
+26.55%
33.66
Cash And Cash Equivalents
42.59
+26.55%
33.66
Receivables
67.93
-22.74%
87.92
Accounts Receivable
67.93
-22.74%
87.92
Gross Accounts Receivable
72.42
-21.50%
92.26
Allowance For Doubtful Accounts Receivable
-4.50
-3.71%
-4.33
Inventory
3.12
-29.08%
4.41
Prepaid Assets
6.90
-34.74%
10.57
Restricted Cash
0.00
-100.00%
1.69
Hedging Assets Current
0.91
-44.30%
1.63
Other Current Assets
37.52
-3.92%
39.05
Total Non Current Assets
144.86
-4.71%
152.02
Net PPE
4.71
+0.41%
4.69
Gross PPE
6.98
-9.31%
7.70
Accumulated Depreciation
-2.27
+24.46%
-3.01
Machinery Furniture Equipment
6.98
-9.31%
7.70
Other Properties
6.98
-9.31%
7.70
Goodwill And Other Intangible Assets
120.48
-0.28%
120.82
Goodwill
120.34
+0.00%
120.34
Other Intangible Assets
0.14
-71.10%
0.48
Non Current Deferred Assets
15.28
-25.22%
20.44
Non Current Deferred Taxes Assets
15.28
-25.22%
20.44
Other Non Current Assets
4.30
-20.52%
5.41
Total Liabilities Net Minority Interest
177.05
-17.61%
214.90
Current Liabilities
80.00
-13.21%
92.17
Payables And Accrued Expenses
45.09
-27.26%
61.99
Payables
30.00
-44.00%
53.56
Accounts Payable
30.00
-44.00%
53.56
Current Accrued Expenses
15.09
+79.03%
8.43
Other Current Liabilities
34.91
+15.67%
30.18
Total Non Current Liabilities Net Minority Interest
97.05
-20.92%
122.73
Long Term Debt And Capital Lease Obligation
97.00
-19.17%
120.00
Long Term Debt
97.00
-19.17%
120.00
Other Non Current Liabilities
0.02
-83.49%
0.11
Stockholders Equity
134.66
+3.36%
130.28
Common Stock Equity
46.60
+9.47%
42.57
Capital Stock
88.14
+0.40%
87.78
Common Stock
0.07
+0.00%
0.07
Preferred Stock
88.06
+0.40%
87.71
Share Issued
3.26
+1.91%
3.20
+1.34%
3.16
Ordinary Shares Number
3.23
+1.93%
3.17
+1.35%
3.13
Treasury Shares Number
0.03
+0.00%
0.03
+0.00%
0.03
Additional Paid In Capital
40.00
-6.69%
42.87
Retained Earnings
8.97
+332.80%
2.07
Gains Losses Not Affecting Retained Earnings
-0.04
+0.00%
-0.04
Treasury Stock
2.41
+0.00%
2.41
+0.00%
2.41
Minority Interest
-7.88
+44.63%
-14.23
Other Equity Adjustments
-0.04
+0.00%
-0.04
Total Equity Gross Minority Interest
126.78
+9.25%
116.05
Total Capitalization
231.66
-7.44%
250.28
Working Capital
78.98
-8.97%
86.76
Invested Capital
143.60
-11.67%
162.57
Total Debt
97.00
-19.17%
120.00
Net Debt
54.41
-36.99%
86.34
Net Tangible Assets
14.18
+49.94%
9.46
Tangible Book Value
-73.88
+5.59%
-78.25
Derivative Product Liabilities
0.05
-98.01%
2.71
Financial Assets
0.09
-86.34%
0.67
Preferred Shares Number
3.57
+0.00%
3.57
+0.00%
3.57
Preferred Stock Equity
88.06
+0.40%
87.71
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
42.10
-16.61%
50.48
+2.37%
49.31
+204.28%
16.21
Cash Flow From Continuing Operating Activities
42.10
-16.61%
50.48
+2.37%
49.31
+204.28%
16.21
Net Income From Continuing Operations
35.58
-41.74%
61.08
+133.96%
26.11
+133.02%
11.20
Depreciation Amortization Depletion
21.82
+131.04%
9.45
+3.78%
9.10
-45.51%
16.70
Depreciation And Amortization
21.82
+131.04%
9.45
+3.78%
9.10
-45.51%
16.70
Other Non Cash Items
1.04
-4.60%
1.09
+6.37%
1.02
-11.29%
1.15
Stock Based Compensation
0.00
-100.00%
2.41
+5.05%
2.29
-29.43%
3.25
Asset Impairment Charge
1.31
-47.02%
2.47
-28.27%
3.44
-49.86%
6.87
Deferred Tax
4.79
-52.84%
10.16
+97.19%
5.15
+162.69%
1.96
Deferred Income Tax
4.79
-52.84%
10.16
+97.19%
5.15
+162.69%
1.96
Operating Gains Losses
7.18
+123.59%
-30.43
-725.96%
4.86
-72.72%
17.82
Gain Loss On Investment Securities
7.18
+123.59%
-30.43
-725.96%
4.86
-72.72%
17.82
Change In Working Capital
-29.62
-416.28%
-5.74
-115.31%
-2.67
+93.77%
-42.75
Change In Receivables
-23.90
-482.85%
-4.10
-124.77%
16.55
+168.23%
-24.26
Changes In Account Receivables
-23.90
-482.85%
-4.10
-124.77%
16.55
+168.23%
-24.26
Change In Inventory
-0.79
-180.04%
0.99
-22.95%
1.28
+152.87%
-2.42
Change In Prepaid Assets
-5.61
-216.03%
4.83
+692.46%
0.61
+105.82%
-10.47
Change In Payables And Accrued Expense
10.47
+209.76%
3.38
+122.62%
-14.94
-702.26%
2.48
Change In Payable
10.47
+209.76%
3.38
+122.62%
-14.94
-702.26%
2.48
Change In Account Payable
10.47
+209.76%
3.38
+122.62%
-14.94
-702.26%
2.48
Change In Other Working Capital
-10.41
-9.54%
-9.51
-41.15%
-6.74
-14.75%
-5.87
Change In Other Current Assets
0.62
+146.36%
-1.33
-255.85%
0.85
+270.12%
-0.50
Change In Other Current Liabilities
0.00
0.00
+100.00%
-0.28
+83.53%
-1.71
Investing Cash Flow
-17.58
-271.93%
-4.73
-229.41%
-1.44
+79.12%
-6.87
Cash Flow From Continuing Investing Activities
-17.58
-271.93%
-4.73
-229.41%
-1.44
+79.12%
-6.87
Net PPE Purchase And Sale
-2.96
-88.02%
-1.58
-9.90%
-1.44
+33.35%
-2.15
Purchase Of PPE
-2.96
-88.02%
-1.58
-9.90%
-1.44
+33.35%
-2.15
Capital Expenditure
-17.58
-271.93%
-4.73
-229.41%
-1.44
+79.12%
-6.87
Net Business Purchase And Sale
Gain Loss On Sale Of Business
Net Intangibles Purchase And Sale
-14.62
-364.00%
-3.15
0.00
+100.00%
-4.72
Purchase Of Intangibles
-14.62
-364.00%
-3.15
0.00
+100.00%
-4.72
Financing Cash Flow
-51.89
-186.82%
-18.09
+55.48%
-40.64
+17.58%
-49.30
Cash Flow From Continuing Financing Activities
-51.89
-186.82%
-18.09
+55.48%
-40.64
+17.58%
-49.30
Net Issuance Payments Of Debt
14.00
+55.56%
9.00
+139.13%
-23.00
-53.33%
-15.00
Issuance Of Debt
514.42
-12.21%
586.00
+55.44%
377.00
+22.01%
309.00
Repayment Of Debt
-500.43
+13.27%
-577.00
-44.25%
-400.00
-23.46%
-324.00
Long Term Debt Issuance
514.42
-12.21%
586.00
+55.44%
377.00
+22.01%
309.00
Long Term Debt Payments
-500.43
+13.27%
-577.00
-44.25%
-400.00
-23.46%
-324.00
Net Long Term Debt Issuance
14.00
+55.56%
9.00
+139.13%
-23.00
-53.33%
-15.00
Net Common Stock Issuance
0.00
Common Stock Payments
0.00
Common Stock Dividend Paid
-9.92
0.00
+100.00%
-2.87
+74.92%
-11.46
Cash Dividends Paid
-18.91
-74.11%
-10.86
+17.38%
-13.14
+31.15%
-19.09
Repurchase Of Capital Stock
-4.23
0.00
Net Other Financing Charges
-20.42
-70.12%
-12.00
-167.09%
-4.49
+70.47%
-15.22
Changes In Cash
-27.38
-198.97%
27.66
+281.89%
7.24
+118.12%
-39.97
Beginning Cash Position
70.26
+64.95%
42.59
+20.49%
35.35
-53.07%
75.32
End Cash Position
42.88
-38.97%
70.26
+64.95%
42.59
+20.49%
35.35
Free Cash Flow
24.52
-46.42%
45.76
-4.43%
47.88
+412.85%
9.34
Interest Paid Supplemental Data
6.51
+7.39%
6.06
-29.78%
8.64
+55.30%
5.56
Income Tax Paid Supplemental Data
4.50
-57.41%
10.56
+208.38%
3.42
+295.95%
0.86
Excess Tax Benefit From Stock Based Compensation
Net Preferred Stock Issuance
-26.57
-527.84%
-4.23
0.00
0.00
Preferred Stock Dividend Paid
-8.99
+17.24%
-10.86
-5.75%
-10.27
-34.61%
-7.63
Preferred Stock Payments
-4.23
0.00
Sale Of Business
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