Revenue: $1.948 million in Q3 2025; YoY +0.41%, QoQ -6.30%. Gross Profit: $57,983; Gross Margin 2.98%; YoY -76.31%, QoQ -27.50%. Operating Income: -$966,000; Operating Margin -49.59%; YoY -5,384.46%, QoQ -811.32%. Net Income: -$948,000; Net Margin -48.67%; YoY -1,796.99%, QoQ -738.94%. EPS: -$0.06; YoY -934.48%, QoQ -679.22%. Cash Flow: Operating cash flow -$1.842 million; Net cash from financing activities +$5.292 million; Free cash flow -$1.842 million. Balance Sheet: Cash and equivalents $3.631 million; Total assets $4.525 million; Total current liabilities $13,899; Retained earnings -$1.376 million; Total stockholders’ equity ~ $4.471 million with signs of data incongruities in the provided table. Liquidity: Very strong short-term liquidity given the cash balance and tiny near-term liabilities, but the company remains a cash-burning shell without an identified operating business within the quarter.