Revenue: $11,857,376; Gross Profit: $10,334,978; Gross Margin: 87.16%
- YoY Revenue Change: -65.50%; QoQ Revenue Change: -61.69%
Operating Income: -$6,010,675; Operating Margin: -50.69%
EBITDA: -$2,004,342; EBITDA Margin: -16.90%
Net Income: -$6,458,327; Net Margin: -54.47%
EPS: -$0.0619; Weighted Avg Shares: 116,841,148
Cash Flow: Operating cash flow = -$6,673,464; Free cash flow = -$7,563,264
Cash and Equivalents: $63,363,812 at period end
Balance Sheet Health: Total Assets $269,467,322; Total Liabilities $46,961,667; Equity $222,505,655
Debt Position: Long-term debt $22,626,520; Short-term debt $839,300; Net Debt = -$39,897,992
Liquidity: Current assets $74,486,175 and current liabilities $22,725,627; Current ratio ~3.28
Capital Allocation: Cash used for investing activities $42,057,105; capital expenditures $889,800; stock repurchase $(171,200); dividends paid $(638,022)
Key Asset Intensity: Goodwill $90,870,094; Intangible assets $95,861,409; Goodwill and Intangibles combined ~$186.73 million
Earnings Quality: Net loss despite very high gross margin due to substantial operating expenses and other costs
Note on Data: YoY/QoQ metrics reflect reported quarterly data; QQ1 2026 results are versus QQ1 2025 and prior quarters as disclosed in the financials.