Breakdown | TTM | Dec 2023 | Dec 2022 | Dec 2021 | Dec 2020 | Dec 2019 |
---|---|---|---|---|---|---|
Income Statement | ||||||
Total Revenue | 14.82K | 12.22K | 12.13K | 14.83K | 24.13K | 35.25K |
Gross Profit | 7.98K | 6.51K | 6.46K | -1.46K | 6.00K | -32.46K |
EBITDA | -106.25K | -83.54K | -186.99K | -23.33K | -194.88K | -620.00K |
Net Income | -102.88K | -84.30K | -195.90K | -886.00K | -187.55K | -621.00K |
Balance Sheet | ||||||
Total Assets | 58.44K | 73.28K | 102.25K | 67.91K | 90.43K | 171.40K |
Cash, Cash Equivalents and Short-Term Investments | 2.60K | 2.54K | 27.54K | 13.74K | 28.75K | 18.65K |
Total Debt | 228.91K | 188.99K | 138.87K | 44.27K | 439.73K | 394.78K |
Total Liabilities | 501.16K | 571.44K | 516.12K | 285.88K | 905.38K | 806.29K |
Stockholders Equity | -442.72K | -498.16K | -413.86K | -217.97K | -814.94K | -634.89K |
Cash Flow | ||||||
Free Cash Flow | -85.51K | -75.11K | -80.80K | -79.39K | -42.34K | -305.29K |
Operating Cash Flow | -85.51K | -75.11K | -80.80K | -79.39K | -42.34K | -305.29K |
Investing Cash Flow | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 | 0.00 |
Financing Cash Flow | 86.39K | 50.11K | 94.60K | 64.38K | 52.45K | 319.66K |
SBD Capital Corp. is preparing for its annual and special shareholder meeting, scheduled for January 24, 2025. Key agenda items include appointing auditors, electing directors, and approving a consolidation of common shares at a proposed 10:1 ratio. Additionally, the company proposes settling up to $438,000 in debt through the issuance of post-consolidation shares. The debt settlement involves related party transactions, significantly impacting the company’s share distribution and potentially enhancing its financial position.