Smart Powerr Corp. (CREG)

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CIK 0000721693 · Nasdaq · Services-Business Services, NEC

  • Sector Services
  • Incorporated NV
  • Fiscal year ends Dec 31

In fiscal 2025, Smart Powerr Corp. reported revenue of $262.5K. The company ran a net loss, with a net margin of -1104.7% and a gross margin of 44.4%. It held $157.64M in total assets against $14.49M in total liabilities.

Key ratios (FY2025)

44.4%
Gross margin
-1148.8%
Operating margin
-1104.7%
Net margin
-2.0%
Return on equity
Metric (FY)2025202420232022202120202019201820172016
Revenue$262.5K$867.4K$6.49M$4.48M
Cost of Revenue$145.9K
Gross Profit$116.6K$6.49M$4.41M
Operating Income-$3.02M-$1.09M-$798.5K-$3.88M-$808.2K$5.83M-$9.11M-$57.99M$5.81M-$45.86M
Net Income-$2.90M-$1.56M-$746.8K-$4.46M-$12.23M$4.05M-$8.77M-$66.00M-$7.34M-$48.30M
EPS (Diluted)$-0.19$-0.18$-0.10$-0.61$-2.18$1.58$-5.61$-76.22$-0.88$-5.81
Total Assets$157.64M$121.23M$136.47M$139.14M$153.27M$137.14M$123.85M$171.44M$231.55M$210.68M
Total Liabilities$14.49M$16.50M$27.22M$28.34M$28.51M$44.98M$45.22M$88.26M$76.51M$57.24M
Shareholders' Equity$143.15M$104.73M$109.25M$110.79M$124.76M$92.15M$78.63M$86.72M$155.51M$153.57M
Cash & Equivalents$138.81M$152.01M$107.80M$16.22M$53.22M$49.83M$47.75M
Operating Cash Flow$66.91M-$10.76M-$68.10M-$351.9K-$1.61M$82.25M-$14.65M$2.17M-$285.1K$39.51M
Capital Expenditures$1.9K
Shares Outstanding20.95M7.39M7.96M7.39M7.04M3.18M2.03M1.03M8.31M8.31M