Creatd, Inc. (CRTD)

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CIK 0001357671 · OTC · Air Transportation, Nonscheduled

  • Sector Transportation & Utilities
  • Incorporated NV
  • Fiscal year ends Dec 31

In fiscal 2022, Creatd, Inc. reported revenue of $4.80M, up 11.6% from the prior year. The company ran a net loss, with a net margin of -673.3% and a gross margin of -27.4%. It held $4.82M in total assets against $17.32M in total liabilities.

Key ratios (FY2022)

-27.4%
Gross margin
-605.3%
Operating margin
-673.3%
Net margin
+11.6%
Revenue growth (YoY)
Metric (FY)2022202120202019201820172016201520142013
Revenue$4.80M$4.30M$1.21M$453.0K$80.9K$95.7K
Cost of Revenue$6.11M$5.30M$1.50M$43.3K$183.5K
Gross Profit-$1.31M-$1.00M-$282.2K$453.0K$80.9K$95.7K$180.6K$584.0K
Operating Income-$29.03M-$33.37M-$16.28M-$7.22M-$5.69M-$5.56M-$3.69M-$2.85M-$306.4K-$69.1K
Net Income-$32.29M-$37.29M-$24.21M-$8.04M-$12.01M-$8.75M-$7.39M-$3.34M-$378.0K-$80.2K
EPS (Diluted)$-1.60$-3.44
Total Assets$4.82M$9.17M$10.78M$2.57M$208.9K$177.4K$378.1K$609.5K$1.36M$1.56M
Total Liabilities$17.32M$5.49M$5.34M$11.13M$2.70M-$472.4K$3.55M$969.9K$90.4K$7.5K
Shareholders' Equity-$11.75M$1.81M$5.45M-$8.56M-$2.49M-$7.37M-$2.91M-$360.5K-$1.45M$1.55M
Cash & Equivalents$706.2K$3.79M$7.91M$11.6K$111.1K$174.5K$438.6K$125.1K$1.48M
Operating Cash Flow-$16.81M-$20.52M-$7.34M-$5.96M-$4.97M-$3.85M-$2.52M-$2.29M-$266.6K-$118.3K
Capital Expenditures$212.2K$95.9K$45.0K$27.9K$27.6K$14.7K$44.0K$69.2K$327.2K$49.3K
Shares Outstanding38.97M16.69M8.73M3.01M6.45M39.52M33.89M28.50M1.46M7.99M