Reported Q: Q2 2026 Rev YoY: +153,157,163.2% EPS YoY: +95.8% Move: +8.91%
Vahanna Tech Edge
VHNA
$11.12 8.91%
Exchange NASDAQ Global Market Sector Financial Services Industry Shell Companies
Q2 2026
Published: Nov 14, 2025

Company Status Snapshot

Fast view of the latest quarter outcome for VHNA

Reported

Report Date

Nov 14, 2025

Quarter Q2 2026

Revenue

13,679.27B

YoY: +153,157,163.2%

EPS

-0.03

YoY: +95.8%

Market Move

+8.91%

Previous quarter: Q1 2026

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Earnings Highlights

  • Revenue of $13,679.27B up 153% year-over-year
  • EPS of $-0.03 increased by 95.8% from previous year
  • Gross margin of 55.7%
  • Net income of -2,108.10B
  • "" -
VHNA
Company VHNA

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Executive Summary

VHNA reported QQ2 2026 results that underscore the unique risk/return profile of a shell SPAC in the Financial Services sector. Revenue is reported at 13.679 trillion USD with a gross profit of 7.622 trillion USD, yielding a gross margin of approximately 55.7%. However, the quarter also shows a substantial negative operating income of -3.337 trillion USD and a net loss of -2.109 trillion USD, resulting in an EPS of -0.03. The YoY and QoQ metrics presented in the data are extreme (Revenue YoY +153,157,163.21%; QoQ +125,895,720.23%; Gross Profit YoY +252,062,519.39%; Net Income YoY -4,354,854.68%; QoQ -52,626,586.01%), suggesting either accounting artifacts tied to SPAC activity, one-time transactional effects, or the absence of an ongoing operating business. EBITDA is deeply negative at -2.596 trillion USD with an EBITDARatio of -0.1898 and an Operating Income Ratio of -0.2439. Net income margin stands at -0.1541 and EPS -0.03. Given VHNA’s core position as a shell seeking a business combination, the sustainability of current profitability metrics is highly contingent on successful de-SPAC activity and the selection/terms of a target. Management commentary from the earnings call is not provided in the available data, so quotes and theme-level guidance cannot be cited here. Investors should treat these figures as indicative of SPAC-specific dynamics rather than a traditional operating company performance.

Key Performance Indicators

Revenue
Increasing
13,679.27B
QoQ: 125 895 720.23% | YoY: 153 157 163.21%
Gross Profit
Increasing
7,621.69B
55.72% margin
QoQ: 119 161 538.08% | YoY: 252 062 519.39%
Operating Income
Decreasing
-3,336.18B
QoQ: -132 369 504.37% | YoY: -10 976 221.22%
Net Income
Decreasing
-2,108.10B
QoQ: -52 626 586.01% | YoY: -4 354 854.68%
EPS
Increasing
-0.03
QoQ: 44.34% | YoY: 95.77%

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