HYLN
Hyliion Holdings Corp. Consumer Cyclical Auto Parts
5/12
Innovation Score
Red Flags (1)
SBC_HIGH (306% of revenue)
Patent Activity
3/3
23 patents found
FUZZY
Cash Runway
1/3
24 months of cash remaining based on current burn rate.
Cash on hand: $92.4M
Cash on hand: $92.4M
Revenue Trajectory
0/3
Revenue: $3.5M
YoY Growth: -52.8%
YoY Growth: -52.8%
Management Quality
1/3
Insider ownership: 31.1%
SBC/Revenue: 306.2%
No reverse splits detected
SBC/Revenue: 306.2%
No reverse splits detected
Key Metrics
Market Cap
$438.7M
Revenue
$3.5M
Revenue Growth (YoY)
-52.8%
Cash on Hand
$92.4M
Cash Runway
24 months
Shares Outstanding
178.3M
Insider Ownership
31.1%
SBC / Revenue
306.2%
Sector / Industry
Consumer Cyclical / Auto Parts
Patents (23)
Match type: FUZZY — company name matched partially; verify assignee
- Trailer-based energy capture and management
- Engine apparatus and method for operation
- Drive train configurations for a vehicle with multiple reversible engines
- Tractor unit with on-board regenerative braking energy storage for stopover HVAC operation without engine idle
- Dynamic tag e-axle and method for controlling a drivetrain having a dynamic tag e-axle
7-Step Risk Assessment
How HYLN maps to our micro cap methodology:
- Innovation Signal 23 patents identified. This suggests the company is investing in defensible IP.
- Cash Runway Check 24 months of runway. Short runway increases dilution risk — watch for capital raises.
- Revenue Trajectory -52.8% YoY growth on $3.5M revenue. Revenue declining — investigate whether this is temporary or structural.
- Management Alignment Insiders hold 31.1% of shares. SBC is 306.2% of revenue.
- Competitive Moat Review the company's 10-K for barriers to entry: patents, network effects, switching costs, regulatory approvals. This step requires manual research.
- Catalyst Identification Look for upcoming catalysts: FDA decisions, contract wins, product launches, partnerships. Check recent 8-K filings and earnings transcripts.
- Position Sizing Micro caps carry outsized risk. Consider position sizing relative to conviction level and portfolio concentration. This is a $438.7M company.
Financial Detail
Free Cash Flow
$-53.1M
FCF Yield
-12.1%
Return on Equity
-26.2%
Debt / Equity
2.3%
Gross Margin
4.9%
Profit Margin
N/A
Operating Margin
-2165.6%
Price / Book
2.27
Current Ratio
10.00
Dividend Yield
None
Share Count Change (YoY)
N/A
Share Count Change (3yr)
N/A
Quality Flags
Low Debt
Free Cash Flow Trend
Insufficient Data
Consecutive Years FCF Positive
0
Disclaimer: This is an automated screening tool, not investment advice. Micro cap stocks are inherently risky with low liquidity and high volatility. The innovation score is based on publicly available data and may not reflect the full picture. Steps 5-7 of the methodology require your own research. See our full disclaimer.
Last screened: 2026-05-11