Revenue: Not disclosed for QQ3 2025 (revenue field null in filing). This constrains margin analysis.
Profitability and cash flow:
- Operating Income: -2,238,807 (YoY -209.26%, QoQ -254.38%)
- Net Income: -4,513,412 (YoY -502.78%, QoQ -725.73%)
- EBITDA: -4,500,381
- EPS: -0.0205 (YoY -454.05%, QoQ -688.46%)
Liquidity and balance sheet:
- Cash and cash equivalents: 9,304
- Total current assets: 34,157
- Total assets: 360,303
- Total current liabilities: 6,107,706
- Total liabilities: 6,107,706
- Total stockholders’ equity: -5,747,403
- Net debt: 2,013,689 (cash = 9,304; short-term debt = 2,022,993)
- Current ratio: ~0.01x (very weak liquidity)
Cash flow and financing:
- Net cash provided by operating activities: -268,916
- Free cash flow: -268,916
- Common stock issued: 2,114,295
- Common stock repurchased: 500,000
- Net change in cash: -59,395
- Cash at end of period: 9,304
- Financing activities provided a modest inflow despite a substantial equity issuance; this highlights ongoing reliance on external funding to sustain operations.