Solana Co (HSDT)

↓ Download CSV

CIK 0001610853 · Nasdaq · Finance Services

  • Sector Finance & Real Estate
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, Solana Co reported revenue of $548.0K, up 5.4% from the prior year. The company ran a net loss, with a net margin of -7461.7% and a gross margin of 1006.8%. It held $303.93M in total assets against $3.02M in total liabilities.

Key ratios (FY2025)

1006.8%
Gross margin
-44496.4%
Operating margin
-7461.7%
Net margin
-13.6%
Return on equity
+5.4%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$548.0K$520.0K$605.0K$778.0K$493.0K$661.0K$1.50M$478.0K
Cost of Revenue$500.0K$582.0K
Gross Profit$5.52M-$62.0K$61.0K$324.0K$224.0K$273.0K$650.0K$478.0K
Operating Income-$243.84M-$13.90M-$12.43M-$15.52M-$18.14M-$14.39M-$24.00M-$26.68M-$22.85M-$9.32M
Net Income-$40.89M-$11.74M-$8.85M-$14.07M-$18.13M-$14.13M-$9.78M-$28.62M-$28.02M-$6.88M
EPS (Diluted)$-1.85$-3282.26$-14.56$-52.13$-7.38$-11.80$-12.99$-1.26$-0.12
Total Assets$303.93M$3.54M$7.69M$17.29M$14.10M$6.55M$10.35M$27.83M$6.81M$3.45M
Total Liabilities$3.02M$2.48M$5.34M$9.14M$2.85M$2.68M$4.51M$17.97M$14.30M$6.89M
Shareholders' Equity$300.91M$1.06M$2.35M$8.15M$11.26M$3.87M$5.83M$9.85M-$7.49M-$3.44M
Cash & Equivalents$7.28M$1.09M$5.18M$14.55M$11.01M$2.67M
Operating Cash Flow-$16.51M-$11.04M-$10.42M-$14.31M-$13.39M-$11.74M-$21.00M-$19.62M-$19.32M-$7.94M
Capital Expenditures$5.0K$29.0K$17.0K$54.0K$63.0K$278.0K$440.0K$190.0K
Shares Outstanding43.74M4.9K714.6K564.1K3.78M1.48M877.7K25.83M20.18M16.93M