Infobird Co., Ltd (IFBD)

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CIK 0001815566 · Nasdaq · Services-Prepackaged Software

  • Sector Services
  • Incorporated E9
  • Fiscal year ends Dec 31

In fiscal 2025, Infobird Co., Ltd reported revenue of $8.71M, up 505.5% from the prior year. The company ran a net loss, with a net margin of -615.9% and a gross margin of 29.5%. It held $23.15M in total assets against $4.95M in total liabilities.

Key ratios (FY2025)

29.5%
Gross margin
-606.8%
Operating margin
-615.9%
Net margin
-294.7%
Return on equity
+505.5%
Revenue growth (YoY)
Metric (FY)202520242023202220212020201920182017
Revenue$8.71M$1.44M$280.0K$5.51M$9.64M$14.53M$18.25M$18.79M
Cost of Revenue$6.14M$845.2K$125.3K$3.53M$7.37M$4.72M$7.99M$9.30M
Gross Profit$2.57M$592.6K$154.7K$1.98M$2.27M$9.81M$10.26M$9.49M
Operating Income-$52.83M-$1.73M-$3.16M-$897.4K-$797.3K$4.37M$6.04M$3.07M
Net Income-$53.63M-$2.10M-$2.87M-$16.19M-$13.87M$4.00M$4.85M$2.44M
EPS (Diluted)$-6.50$-1.05$-54.47$-2122.77$-2369.30$1.05
Total Assets$23.15M$73.78M$57.66M$30.65M$28.48M$15.95M$11.14M
Total Liabilities$4.95M$6.98M$63.0K$24.15M$12.58M$7.82M$7.54M
Shareholders' Equity$18.20M$66.80M$57.59M$6.50M$15.90M$8.13M$3.59M$311.3K-$2.36M
Cash & Equivalents$6.29M$1.68M$3.51M$2.71M$1.62M
Operating Cash Flow-$521.7K$3.25M-$2.72M-$5.22M-$7.54M$1.53M$6.32M-$1.16M
Capital Expenditures$768.8K$4.2K$109.5K$105.4K$95.1K$169.9K
Shares Outstanding8.19M5.46M1.34M23.9K5.09M19.00M19.00M