Reported Q: Q4 2024 Rev YoY: N/A EPS YoY: -2,100.0% Move: -31.73%
Groove Botanicals Inc
GRVE
$0.00710 -31.73%
Exchange OTC Sector Healthcare Industry Drug Manufacturers Specialty Generic
Q4 2024
Published: Aug 15, 2024

Company Status Snapshot

Fast view of the latest quarter outcome for GRVE

Reported

Report Date

Aug 15, 2024

Quarter Q4 2024

Revenue

N/A

YoY: N/A

EPS

0.00

YoY: -2,100.0%

Market Move

-31.73%

Previous quarter: N/A

Follow this company to get upcoming quarter alerts automatically.

Earnings Highlights

  • EPS of $0.00 decreased by 2% from previous year
  • Net income of -122.00K
  • "N/A" - N/A
GRVE
Company GRVE

Executive Summary

Groove Botanicals Inc (GRVE) reported a materially stressed QQ4 2024 with no revenue disclosed in the available data and a meaningful quarterly net loss of $122 thousand. EBITDA and operating income were negative, driven by high fixed overhead and non-cash depreciation/amortization adjustments, and the company posted a modest tax credit of $155 but still incurred a net loss attributable to shareholders. The quarter underscores a burn profile typical of an early-stage microcap with limited operating scale and no visible revenue stream in the period.

From a balance-sheet perspective, the company displays extreme liquidity fragility. Cash and cash equivalents stand at $1.69 thousand against current liabilities of $762.70 thousand, yielding a current ratio and cash ratio both near zero (0.0028 and 0.0022, respectively). Equity is negative at approximately -$760.6 thousand, with retained earnings deeply negative, signaling ongoing accumulated losses and a precarious balance sheet position absent lengthy fundraising or asset monetization. Free cash flow for the period was negative at $78.4 thousand, reinforcing the cash burn narrative.

Although the quarterly sequence shows a small net income in Q3 2024 (net income of $24.21 thousand) versus a downturn in Q2 and Q4, the overall trajectory remains analytically weak due to absent revenue data for QQ4 2024 and a structurally unprofitable model in the latest period. In the absence of earnings-call commentary in the provided dataset, the assessment relies on disclosed metrics and standard microcap risk factors: liquidity scarcity, reliance on external financing, and significant market and execution risks. Investors should treat the stock as highly speculative until there is visible revenue generation, meaningful liquidity runway, and a credible financing/funding plan or strategic pivot.

Key Performance Indicators

Operating Income
Decreasing
-112.00K
QoQ: -102.91% | YoY: -115.46%
Net Income
Decreasing
-122.00K
QoQ: -604.01% | YoY: -6 621.76%
EPS
Decreasing
0.00
QoQ: -600.00% | YoY: -2 100.00%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 0.00 0.00 +0.0% View
Q3 2025 0.00 0.00 +0.0% View
Q2 2025 0.00 0.00 +0.0% View
Q1 2025 0.00 0.00 +0.0% View
Q4 2024 0.00 0.00 +0.0% View