Revenue: $96.12 million, upYoY 19.78% and QoQ 15.34%
- Gross Profit: $27.93 million, gross margin 29.06% (0.ix): 0.art; yoy gross profit growth 20.17%, QoQ 11.59%
- Operating Income: $1.61 million, operating margin 1.68%; YoY operating income down 76.82%, QoQ down 78.27%
- EBITDA: $2.03 million, EBITDA margin ~2.11%
- Net Income: $1.18 million, net margin 1.23%; YoY -77.74%, QoQ -78.46%
- EPS: $0.24, diluted $0.24; YoY -77.98%, QoQ -78.76%
- Cash Flow: Net cash from operations $3.93 million; Capex $0.32 million; Free cash flow $3.61 million
- Balance Sheet: Total assets $176.88 million; total liabilities $59.82 million; total equity $117.06 million; cash and equivalents $0.74 million; short-term investments $9.41 million; cash flow vs. debt shows modest leverage with net debt $8.31 million and interest coverage ~36.68x
- Working Capital Profile: DSO 50.6 days, DIO 89.0 days, CCC 139.6 days; current ratio 2.55x, quick ratio 1.28x, cash ratio 0.0139x
- Valuation Signals: P/E ~36.2x, P/S ~1.78x, P/B ~1.46x, EV/EBITDA ~88.5x, suggesting premium pricing versus some peers given growth but elevated relative risk to earnings stability.