Elvictor Group, Inc. (ELVG)

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CIK 0001741489 · OTC · Services-Management Consulting Services

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

In fiscal 2025, Elvictor Group, Inc. reported revenue of $2.43M, up 0.3% from the prior year. The company ran a net loss, with a net margin of -7.2% and a gross margin of 74.4%. It held $2.03M in total assets against $1.68M in total liabilities.

Key ratios (FY2025)

74.4%
Gross margin
-8.6%
Operating margin
-7.2%
Net margin
-49.2%
Return on equity
+0.3%
Revenue growth (YoY)
Metric (FY)202520242023202220212020201920182017
Revenue$2.43M$2.42M$2.36M$2.48M$2.39M$466.6K$473
Cost of Revenue$622.7K$552.7K$493.4K$499.6K$370.2K$116.9K
Gross Profit$1.81M$1.87M$1.87M$1.98M$1.37M$97.7K$473
Operating Income-$209.7K$177.5K-$274.8K-$324.4K-$53.6K-$360.1K-$104.7K-$85.2K
Net Income-$175.7K$199.8K-$222.7K-$238.9K-$43.16M-$449.1K-$104.7K-$85.2K
EPS (Diluted)$-0.21$0.24$0.00$0.00$-0.14
Total Assets$2.03M$1.84M$2.09M$1.48M$1.05M$675.2K$24.4K$37.5K$100
Total Liabilities$1.68M$1.31M$1.86M$1.03M$611.1K$641.2K$7.6K$29.7K$14.5K
Shareholders' Equity$357.1K$532.8K$229.9K$452.6K$442.7K-$57.9K$16.8K$7.8K-$14.4K
Cash & Equivalents$491.0K$101.1K$699.3K$504.0K
Operating Cash Flow$418.4K-$583.5K$206.2K$210.4K-$134.2K-$302.1K-$63.1K-$71.3K
Capital Expenditures$11.2K$6.9K$5.4K$14.9K$12.9K
Shares Outstanding828.9K828.9K414.45M414.45M406.55M26.38M20.78M20.56M20.00M