Dogecoin Cash, Inc. (DOGP)

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CIK 0001360442 · OTC · Services-Personal Services

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

In fiscal 2025, Dogecoin Cash, Inc. reported revenue of $738.9K, down 7.9% from the prior year. The company ran a net loss, with a net margin of -1359.3% and a gross margin of 64.0%. It held $2.23M in total assets against $2.26M in total liabilities.

Key ratios (FY2025)

64.0%
Gross margin
-74.0%
Operating margin
-1359.3%
Net margin
-7.9%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$738.9K$802.7K$1.17M$1.56M$1.84M$1.94M$1.16M$505.7K$318.0K$29.2K
Cost of Revenue$265.7K$310.6K$400.7K$597.8K$699.4K$740.6K$462.9K$209.9K$154.5K$27.3K
Gross Profit$473.2K$492.1K$773.1K$960.9K$1.14M$1.20M$696.8K$295.8K$163.5K$1.8K
Operating Income-$546.7K-$693.2K-$855.9K-$1.40M-$1.75M-$1.79M-$3.81M-$5.04M-$7.85M-$2.83M
Net Income-$10.04M-$1.78M-$1.32M-$1.26M-$2.42M-$2.46M-$3.94M-$4.13M-$7.56M-$3.13M
EPS (Diluted)$-0.02$-0.03
Total Assets$2.23M$1.71M$2.02M$2.57M$2.56M$3.21M$2.98M$4.87M$7.71M$3.71M
Total Liabilities$2.26M$1.84M$1.26M$986.3K$1.52M$1.58M$1.82M$1.57M$1.50M$877.9K
Shareholders' Equity-$1.87M-$1.44M-$602.5K$293.9K-$293.2K$660.2K$2.1K$2.07M$4.20M$2.61M
Cash & Equivalents$29.6K$34.9K$322.1K$336.1K$151.9K$175.9K$257.7K
Operating Cash Flow-$39.6K-$107.7K-$63.1K-$235.6K-$246.0K-$191.8K$94.6K-$689.9K-$964.7K-$252.0K
Capital Expenditures$0$1.6K$0$58.5K$2.4K$630$9.6K$0
Shares Outstanding160.11M143.90M88.81M45.57M30.75M27.45M22.22M21.32M20.80M18.65M