Skip to content

Alliance Resource Partners ARLP Debt And Equity Securities Impairment

Debt And Equity Securities Impairment at other companies

UFP Industries, Inc. logo
UFP Industries, Inc.UFPI
$4M
SolarEdge Technologies logo
SolarEdge TechnologiesSEDG
$5.4M+332%
Nexstar Media Group, Inc. logo
Nexstar Media Group, Inc.NXST
$95.25M
Philip Morris International logo
Philip Morris InternationalPM
$0-100%
Twilio logo
TwilioTWLO
$80.6M
Equitable Holdings logo
Equitable HoldingsEQH
$4M

Other financials

Income statement

See full
Revenue$516.0M-4.5%
Operating income$21.9M-76.8%
Net income$9.1M-87.7%
EPS (diluted)$0.07-87.7%

Balance sheet

See full
Cash & equivalents$28.9M-64.5%
Total debt$507.8M+5.3%
Total assets$2.9B-1.6%

Cash flow

See full
Operating cash flow$105.5M-27.6%
CapEx$95.7M+10.3%
Free cash flow$9.8M-83.3%

Valuation

See full
Market cap$3.16B+1.5%
Enterprise value$3.64B+3.4%
P/E12.8×+1.6×
P/S1.5×+0.1×

Profitability

See full
Gross margin36.6%
Operating margin14.4%+0.4pp
Net margin11.3%-0.5pp
FCF margin15.6%+0.7pp

Returns & leverage

See full
Current ratio1.5×-0.5×

Where this comes from

Reported directly by Alliance Resource Partners in its filing.

Tagged under the XBRL concept arlp:DebtAndEquitySecuritiesImpairment.

The official record: Alliance Resource Partners’s 10-K, filed February 26, 2026, on SEC EDGAR. View the filing →

Ask your AI about Alliance Resource Partners's debt and equity securities impairment.

Connect your AI assistant and compare it to peers, right in your chat.

Connect your AI
Harbor at dusk
Claude

Questions, answered.

What is Alliance Resource Partners's debt and equity securities impairment?
Alliance Resource Partners (ARLP) reported debt and equity securities impairment of $7.01M in Q4 2025.
What does debt and equity securities impairment mean?
Represents the write-down of the carrying value of investment securities when their fair value is deemed to have suffered an other-than-temporary decline. This metric highlights potential losses in the company's investment portfolio, signaling risks associated with financial market exposure. It is a key indicator of the health and stability of the company's non-operating asset base.