DATZ WORLD HOLDINGS CORP. (BOTX)

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CIK 0001643721

In fiscal 2025, DATZ WORLD HOLDINGS CORP. reported revenue of $6.47M, up 15.5% from the prior year. The company was profitable, with a net margin of 4.0% and a gross margin of 43.6%. It held $1.13M in total assets against $2.50M in total liabilities.

Key ratios (FY2025)

43.6%
Gross margin
4.7%
Operating margin
4.0%
Net margin
+15.5%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$6.47M$5.60M$5.09M$3.81M$2.67M$2.53M$1.79M$1.13M$704.8K
Cost of Revenue$3.65M$3.55M$2.84M$2.71M$1.94M$1.77M$1.29M$0
Gross Profit$2.82M$2.05M$2.25M$1.09M$723.1K$760.5K$500.2K$1.13M$949.9K$704.8K
Operating Income$302.2K-$586.5K-$420.2K-$1.60M-$2.33M-$4.49M-$5.87M-$2.95M-$268.5K$11.2K
Net Income$260.7K-$709.4K-$585.2K$955.7K-$5.03M$1.30M-$6.55M-$2.98M-$267.2K$12.7K
EPS (Diluted)$0.00$0.00$0.00$0.01$-0.06$0.02
Total Assets$1.13M$873.7K$1.84M$2.37M$3.40M$4.98M$3.92M$561.2K$197.0K$77.9K
Total Liabilities$2.50M$2.56M$3.11M$3.78M$10.63M$8.20M$3.28M$1.32M$100.6K$95.7K
Shareholders' Equity-$1.37M-$1.68M-$1.28M-$1.41M-$7.22M-$3.22M-$9.95M-$757.9K$96.5K-$17.8K
Cash & Equivalents$853.8K$165.3K$445.7K$367.2K$684.6K$1.31M$181.6K$375.9K$197.1K$63.0K
Operating Cash Flow$855.5K-$131.1K$422.6K-$317.4K-$858.2K-$2.81M-$2.89M-$1.63M-$330.1K$58.6K
Capital Expenditures-$1.5K$0
Shares Outstanding100.07M100.07M99.43M93.32M89.32M81.77M47.91M42.66M38.00M38.00M