Revenue: Not disclosed in QQ1 2024 filing; revenue field shown as null. Gross Profit: β$33,283; YoY β356.02%; QoQ β69.24%. EBITDA: β$482,503. Operating Income: β$516,150; QoQ β9.27%. Net Income: β$522,717; YoY β156.87%; QoQ β9.06%. EPS (diluted): β$0.0012; QoQ β9.09%.
Cash Flow and Liquidity:
- Net cash provided by operating activities: β$394,086
- Net cash used for investing activities: β$163,289
- Net cash provided by financing activities: $391,085
- Net change in cash: β$166,290
- Cash at end of period: $68,869
- Free Cash Flow: β$557,375
Balance Sheet:
- Total assets: $1,230,100
- Total liabilities: $1,695,768
- Total stockholdersβ equity: β$465,668
- Cash and cash equivalents: $68,869
- Short-term debt: $785,000; Long-term debt: $590,000; Total debt: $1,375,000; Net debt: $1,306,131
- PPE net: $866,077; Intangibles: $78,188; Long-term investments: $23,750
- Current ratio: 0.113; Quick ratio: 0.164; Cash ratio: 0.0623
Notes:
- Revenue generation appears to be absent in QQ1 2024; the company incurred a material cost of revenue and operating expenses, culminating in a negative EBITDA and net income. The heavily negative equity base and sizable debt burden imply meaningful solvency and liquidity risk absent a near-term capital event or business model pivot.