Compare

Janel Corp vs Radware Ltd vs Repay Holdings Corp vs SPAR Group, Inc.

Latest annual figures from SEC filings. Each company is shown for its own most recent fiscal year, so period ends can differ. Select a figure to see its full history.

Latest fiscal yearJanel Corp
JANL
Radware Ltd
RDWR
Repay Holdings Corp
RPAY
SPAR Group, Inc.
SGRP
Year ended2025-09-302025-12-312025-12-312025-12-31
Revenue$207.44M$301.85M$309.26M$136.10M
Revenue growth (YoY)+13.2%+9.8%-1.2%-16.8%
Gross margin31.3%80.7%75.0%15.9%
Operating margin3.1%3.8%-82.4%-12.4%
Net margin2.7%6.7%-83.0%-18.1%
Net income$5.66M$20.26M-$256.72M-$24.63M
EPS (Diluted)$4.17$0.45-$3.00-$1.04
Operating cash flow$43.07M$50.09M$91.11M-$18.44M
Free cash flown/a$41.55M$90.83M-$21.42M
Cash & equivalentsn/a$105.08M$115.69M$3.26M
Total assets$170.75M$671.16M$1.20B$44.06M
Total liabilities$144.95Mn/a$717.97M$43.44M
Shareholders' equity$25.80M$349.36M$484.43M$622.0K
Return on year-end equity21.9%5.8%-53.0%n/m
Shares outstanding1.19M43.15Mn/a24.13M

n/a means the company did not report that line under the concept TickerFacts maps, not that it is zero.

Revenue, most recent five fiscal years

Fiscal yearJanel CorpRadware LtdRepay Holdings CorpSPAR Group, Inc.
Latest$207.44M
Ended 2025-09-30
$301.85M
Ended 2025-12-31
$309.26M
Ended 2025-12-31
$136.10M
Ended 2025-12-31
1 year earlier$183.18M
Ended 2024-09-30
$274.88M
Ended 2024-12-31
$313.04M
Ended 2024-12-31
$163.63M
Ended 2024-12-31
2 years earlier$186.45M
Ended 2023-09-30
$261.29M
Ended 2023-12-31
$296.63M
Ended 2023-12-31
$187.87M
Ended 2023-12-31
3 years earlier$316.86M
Ended 2022-09-30
$293.43M
Ended 2022-12-31
$279.23M
Ended 2022-12-31
$261.27M
Ended 2022-12-31
4 years earlier$146.42M
Ended 2021-09-30
$286.50M
Ended 2021-12-31
$219.26M
Ended 2021-12-31
$255.72M
Ended 2021-12-31