Revenue: No revenue reported for QQ3 2025 (N/A). YoY and QoQ revenue data not available.
Profitability:
- Operating income: -$53,128,713; YoY: -12,523.63%; QoQ: -24,798.40%.
- Net income: -$54,067,346; YoY: -10,165.30%; QoQ: -12,468.45%.
- EBITDA: -$53,128,713.
- EPS: -$12.50; YoY: +95.79%; QoQ: +61.22%.
Liquidity and cash flow:
- Net cash from operating activities: -$136,196.
- Free cash flow: -$136,196.
- Cash at end of period: $50,760; Cash at beginning: $14,633; Net change in cash: $36,127.
Balance sheet health:
- Total assets: $22,527,352; Total liabilities: $4,435,060; Total stockholders’ equity: $18,092,292.
- Current ratio: 2.24; Quick ratio: 2.24; Cash ratio: 0.0117.
- Cash and cash equivalents: $50,760; Total debt: $815,861; Long-term debt: $93,913; Net debt: $765,101.
- Retained earnings: -$121,550,059; Accumulated other comprehensive income: $1,464,557.
Capital structure and dilution:
- Weighted average shares outstanding: 4,325,900,000; Common stock issued during QQ3: $51,348,000 (shares not explicitly stated in decimal form).
- Price-to-book and price-to-earnings metrics are heavily distorted by the net loss and pre-revenue status (PBV ~ $1,315; P/B ~ 1,315; P/E negative).
Notes on data quality: The QQ3 2025 period shows no reported revenue and a large GAAP net loss, with a sizable non-cash charge component (notably an “other non-cash items” line of ~$52.7 million) that suppresses cash burn. Investors should consider the potential for non-cash accounting effects to distort implied cash efficiency metrics.