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LIVE · 09:37 UTC

REX American Resources Corp

REX · Oil, Gas & Consumable Fuels · United States of America

Profile
TickerREX
RICREX
ISINUS7616241052
IssuerREX American Resources Corp
SectorEnergy
IndustryOil, Gas & Consumable Fuels
Sub-industryRenewable Fuels
HeadquartersDayton, United States of America
Country of issuerUnited States
Founded1984-02-13
Employees122
Total share float28,587,351
Holders (C/S)58
AuditorRSM US LLP
CEO / managementLord Stuart Alan Rose
Business Description

Rex American Resources Corporation is an ethanol production company. The Company operates through the ethanol and by-products segment. Its ethanol operations are focused on corn, ethanol, distillers’ grains, distillers corn oil and natural gas. The Company has interests in over six ethanol production facilities, which in aggregate shipped approximately 730 million gallons of ethanol. The Company has ownership of the gallons shipped by the ethanol production facilities, which has ownership interests in approximately 300 million gallons. The Company operates through its subsidiaries, including One Earth Energy, LLC (One Earth), NuGen Energy, LLC (NuGen), and Big River Resources, LLC (Big River). The Company’s ethanol production facilities are located across Illinois, Indiana, Iowa, Minnesota, Nebraska, Ohio, and South Dakota.

ESG · Risk Indicators
Controversies score100.0
Governance pillar87.6
Social pillar7.5
Insider trading score3.0
Industry Substrate · Renewable Energy
Signals to watch
  • PPA pricing trends ($/MWh) (leading)
  • Order book / installed capacity backlog (leading)
  • Installation cost curves (LCOE) (trend)
  • Inverter / battery $/kWh trajectory (trend)
  • Grid-interconnection queue depth (coincident)
Geopolitical drivers
  • China solar/wind tariffs + IRA domestic-content rules · exposure: very high
  • Rare-earth supply (China = ~85% global rare-earth processing) · exposure: high
  • Permitting + grid-connection bottlenecks · exposure: high
  • Energy security policy shifts · exposure: medium-high
Industry KPIs
  • MW shipped / installed — core volume metric
  • EBITDA margin % — 8-15% manufacturers; 20-40% developers
  • Order backlog months — 12-24 months healthy
  • Capacity factor (utility scale) — wind 35%+, solar 18%+, varies geo
  • LCOE trajectory — decreasing = competitive vs grid
Full Analysis Pending

Detailed financial analysis, valuation snapshot, multi-period history, and AI narrative are pending — generated when this company is included in the next analysis batch. Profile data above is point-in-time as of 2026-04-30.