NAPC Defense Inc
BLIS
$0.0100 -23.08%
Exchange: OTC | Sector: Industrials | Industry: Aerospace Defense
Q1 2025
Published: Oct 2, 2024

Earnings Highlights

  • Revenue of $0.07M up 0% year-over-year
  • EPS of $0.00 decreased by 30.8% from previous year
  • Gross margin of 100.0%
  • Net income of -435.86K
  • "N/A" - N/A

NAPC Defense Inc (BLIS) QQ1 2025 Results: Minimal Revenue, Large Operating Losses, and Elevated Leverage in a Niche Defense/Salvage Segment

Executive Summary

NAPC Defense Inc (BLIS) reported QQ1 2025 revenue of $67,467 with a gross profit of $67,467, yielding a gross margin of 100% in the period due to the absence of recognized cost of revenue. However, ongoing operating expenses dominated, resulting in an operating loss of $257,032 and an EBITDA of negative $399,589. Net income was negative $435,863, translating to an EPS of βˆ’0.0068. Cash flow remained negative, with cash from operations of βˆ’$163,549 and free cash flow of βˆ’$163,549, while the company ended the period with only $6,739 in cash and cash equivalents. The balance sheet shows a heavy leverage position: total debt $1.93 billion and net debt roughly $1.92 billion against assets of $3.164 billion and equity of $0.944 billion. Liquidity is severely constrained, evidenced by a current ratio of 0.103 and a cash ratio of 0.00624. Retained earnings sit at a meaningful deficit (βˆ’$5.423 million, in the reported unit framework), underscoring a long history of losses. The revenue base remains small relative to the cost structure, and debt maturities, potential refinancing needs, and the ability to achieve meaningful top-line growth will be critical to assess going forward. No QQ1 2025 earnings-call transcript was available for extracting management commentary in this document; as such, the analysis integrates the reported numbers with forward-looking considerations typical for a highly levered asset-heavy defense/subsea salvage business. Overall, BLIS exhibits a risk-heavy profile with limited near-term liquidity, but a sizeable fixed asset base and intangible assets that, if monetized or leverage-recaptured through contract wins and cost discipline, could offer optionality. Investors should monitor debt maturities, capital-structure actions, potential contract awards, and any management guidance on cost control and revenue diversification.

Key Performance Indicators

Revenue

67.47K
QoQ: N/A | YoY:N/A

Gross Profit

67.47K
1.00% margin
QoQ: N/A | YoY:180.71%

Operating Income

-257.03K
QoQ: -112.43% | YoY:-5.39%

Net Income

-435.86K
QoQ: -113.37% | YoY:-68.63%

EPS

-0.01
QoQ: -112.50% | YoY:-30.77%

Revenue Trend

Margin Analysis

Key Insights

Revenue: $67,467; Gross Profit: $67,467; Gross Margin: 100.0% (reported as 1.0000000000) YoY gross profit: +180.71%; QoQ not disclosed Operating Income: βˆ’$257,032; Operating Margin: βˆ’3.81% YoY operating income: βˆ’5.39%; QoQ: βˆ’112.43% Net Income: βˆ’$435,863; Net Margin: βˆ’6.46% YoY net income: βˆ’68.63%; QoQ: βˆ’113.37% EPS: βˆ’$0.00680; Diluted: βˆ’$0.00250 YoY EPS: βˆ’30.77%; QoQ: βˆ’112.50% EBITDA: βˆ’$399,589; EBITDA Margin: βˆ’5.92% Interest Expense: $32,838; Depreciation/Amortiza...

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 0.00 0.00 +0.0% View
Q2 2025 0.00 0.00 +0.0% View
Q1 2025 0.07 0.00 +0.0% View
Q4 2024 0.00 0.00 +0.0% View
Q3 2024 0.00 0.00 +0.0% View