Reported Q: Q1 2026 Rev YoY: +8.6% EPS YoY: +91.0% Move: +8.91%
Vahanna Tech Edge
VHNA
$11.12 8.91%
Exchange NASDAQ Global Market Sector Financial Services Industry Shell Companies
Q1 2026
Published: Aug 13, 2025

Company Status Snapshot

Fast view of the latest quarter outcome for VHNA

Reported

Report Date

Aug 13, 2025

Quarter Q1 2026

Revenue

10.87M

YoY: +8.6%

EPS

-0.05

YoY: +91.0%

Market Move

+8.91%

Previous quarter: Q3 2024

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Earnings Highlights

  • Revenue of $10.87M up 8.6% year-over-year
  • EPS of $-0.05 increased by 91% from previous year
  • Gross margin of 58.9%
  • Net income of -4.01M
  • "N/A" - N/A
VHNA
Company VHNA

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Executive Summary

VHNA reported Q1 2026 revenue of $10.87 million with a gross margin of approximately 58.9%, yet posted a net loss of $4.01 million and negative EBITDA of $2.95 million. The quarter was characterized by substantial selling, general, and administrative (SG&A) outlays ($8.71 million) relative to revenue, contributing to negative operating income of $2.52 million and an EPS of -$0.0539. Cash flow remains negative, with operating cash flow of -$2.92 million and free cash flow of -$3.20 million, underscoring a cash burn that diminishes runway absent a near-term business combination.

From a balance sheet perspective, VHNA carries a leveraged, solvent-strained profile for a shell company: total assets of $32.96 million versus total liabilities of $61.75 million, yielding negative stockholders’ equity of $28.08 million. Liquidity is tight, with current assets of $27.09 million and current liabilities of $60.61 million, resulting in a current ratio near 0.45 and a quick/liquidity metric well below 1. The company holds cash and cash equivalents of about $3.12 million and net debt of roughly $21.42 million (total debt ~$24.54 million).

Overall, the near-term investment thesis hinges on execution of a compelling business combination. Absent a credible target and closing in a reasonable time frame, the stock remains exposed to continued dilution risk, liquidity pressure, and value erosion inherent to shell companies without operating-scale earnings. In the near term, investors should monitor deal activity, redemptions, and capital-raising options as the primary catalysts for any re-rating.

Key Performance Indicators

Revenue
Increasing
10.87M
QoQ: -10.10% | YoY: 8.64%
Gross Profit
Decreasing
6.40M
58.87% margin
QoQ: -18.11% | YoY: -15.11%
Operating Income
Increasing
-2.52M
QoQ: 20.46% | YoY: 92.78%
Net Income
Increasing
-4.01M
QoQ: -59.10% | YoY: 88.21%
EPS
Increasing
-0.05
QoQ: -47.27% | YoY: 91.02%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q2 2026 13,679,267.00 -0.03 +153.0% View
Q1 2026 10.87 -0.05 +8.6% View
Q3 2024 12.09 -0.04 -100.0% View
Q2 2024 11.87 -318,670.00 -24.1% View
Q1 2024 8.93 -0.71 -100.0% View