Axil Brands, Inc. (AXIL)

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CIK 0001718500 · NYSE · Perfumes, Cosmetics & Other Toilet Preparations

  • Sector Manufacturing
  • Incorporated DE
  • Fiscal year ends May 31

In fiscal 2025, Axil Brands, Inc. reported revenue of $26.26M, down 4.5% from the prior year. The company was profitable, with a net margin of 3.3% and a gross margin of 71.0%. It held $12.87M in total assets against $3.21M in total liabilities.

Key ratios (FY2025)

71.0%
Gross margin
4.4%
Operating margin
3.3%
Net margin
8.9%
Return on equity
-4.5%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$26.26M$27.50M$23.52M$2.34M$1.63M$1.01M$992.7K$933.2K
Cost of Revenue$7.62M$7.32M$5.81M$828.6K$599.7K$480.8K$553.0K$576.2K$281.6K
Gross Profit$18.64M$20.18M$17.71M$1.51M$1.03M$531.9K$439.7K$357.0K$300.4K
Operating Income$1.16M$1.50M$1.98M-$211.4K-$321.1K-$171.1K-$149.6K-$338.8K-$538.2K
Net Income$855.0K$2.00M$1.82M-$182.9K-$297.8K-$172.8K-$150.0K-$342.5K-$538.8K
EPS (Diluted)$0.10$0.21$0.10$0.00
Total Assets$12.87M$10.97M$10.17M$893.9K$1.26M$1.14M$741.5K$609.5K$635.7K
Total Liabilities$3.21M$3.28M$3.50M$709.2K$917.1K$638.3K$64.1K$96.2K$83.2K
Shareholders' Equity$9.66M$7.70M$6.67M$184.7K$345.6K$504.6K$677.4K$513.3K$552.5K
Cash & Equivalents$4.77M$3.25M$4.83M$373.7K$496.9K$409.0K$346.2K$227.9K$416.9K$369.7K
Operating Cash Flow$1.93M$2.7K$2.92M-$126.1K$48.4K-$89.7K-$175.0K-$468.5K-$370.0K
Capital Expenditures$213.5K$138.4K$65.7K$15.4K$9.2K$13.9K$4.1K$5.5K
Shares Outstanding6.66M5.91M5.86M41.95M41.95M41.29M41.29M40.51M39.68M