Revenue: QQ3 2025 revenue reported as 142,827 (gross profit -142,827 against 142,827 cost of revenue), implying a gross loss for the quarter. EBITDA: -1,825,263; Operating income: -1,825,678; Net income: -5,084,084; EPS: -0.07. Cash flow: operating cash flow -$3,078,213; free cash flow -$3,085,243; net cash from financing activities +$3,198,945; net change in cash: -$8,828; cash at period end: $223,330. Balance sheet: cash and equivalents $92,380; total assets $2,297,529; total liabilities $31,072,979; total stockholdersโ equity -$28,775,450; debt $867,449; current ratio 0.0569; intangible assets $525,313; other current assets $1,674,852. Key profitability and liquidity ratios point to ongoing cash burn and fragile solvency metrics, with a debt burden modest in absolute terms but amplified by negative equity.