CANNABIS SUISSE CORP. (CSUI)

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CIK 0001680132 · OTC · Real Estate

  • Sector Finance & Real Estate
  • Incorporated NV
  • Fiscal year ends May 31

In fiscal 2025, CANNABIS SUISSE CORP. reported revenue of $22.5K, down 25.0% from the prior year. The company ran a net loss, with a net margin of -2027.3% and a gross margin of 1.9%. It held $635.1K in total assets against $2.44M in total liabilities.

Key ratios (FY2025)

1.9%
Gross margin
-1280.1%
Operating margin
-2027.3%
Net margin
-25.0%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$22.5K$30.0K$10.0K$7.8K$50.9K$242.7K$7.5K$6.5K$14.2K
Cost of Revenue$22.1K$30.1K$9.2K$1.7K$102.6K$327.5K$2.5K
Gross Profit$432-$67$834$6.0K-$51.8K-$84.8K$5.0K$4.2K$10.3K
Operating Income-$288.0K-$256.9K-$342.7K-$157.2K-$358.5K-$351.3K-$22.7K-$16.4K-$26.7K
Net Income-$456.1K-$1.19M-$351.5K-$187.9K-$410.9K-$389.2K-$22.7K-$16.4K-$26.7K
EPS (Diluted)$-0.01$-0.03$-0.01$-0.01$-0.01$0.00$0.00
Total Assets$635.1K$896.6K$346.3K$0$6.6K$383.5K$66.0K$15.3K$22.2K$1.9K
Total Liabilities$2.44M$2.24M$675.8K$274.1K$194.1K$770.0K$332.6K$28.2K$38.2K$4.9K
Shareholders' Equity-$1.80M-$1.35M-$329.4K-$274.1K-$187.5K-$386.5K
Cash & Equivalents$2.9K$28.6K$199$0$5$84.2K$6.2K$6.2K$1.1K
Operating Cash Flow-$45.1K-$45.6K-$164.0K-$32.1K-$130.6K-$288.8K-$11.9K-$6.4K-$32.2K
Shares Outstanding34.50M34.50M34.50M57.10M2.00M