Latch, Inc. (LTCH)

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CIK 0001826000 · OTC · Wholesale-Hardware

  • Sector Wholesale Trade
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, Latch, Inc. reported revenue of $70.12M, up 23.8% from the prior year. The company ran a net loss, with a net margin of -76.7%. It held $106.80M in total assets against $48.79M in total liabilities.

Key ratios (FY2025)

-75.2%
Operating margin
-76.7%
Net margin
-92.6%
Return on equity
+23.8%
Revenue growth (YoY)
Metric (FY)20252024202320222021202020192018
Revenue$70.12M$56.63M$44.96M$42.95M$27.61M$12.99M$14.89M
Cost of Revenue$43.27M$31.64M$32.64M$46.88M$32.65M$15.62M$17.30M
Operating Income-$52.72M-$59.41M-$110.27M-$165.24M-$149.49M-$63.15M-$49.70M
Net Income-$53.75M-$57.60M-$107.54M-$162.34M-$167.15M-$67.42M-$50.23M
EPS (Diluted)$-0.34$-0.37$-0.72$-1.13$-1.93$-9.31$-7.65
Total Assets$106.80M$196.42M$294.43M$316.66M$449.60M$89.61M
Total Liabilities$48.79M$85.24M$125.30M$75.91M$75.61M$83.28M
Shareholders' Equity$58.01M$111.18M$169.14M$240.75M$373.99M-$155.93M-$90.86M-$44.25M
Cash & Equivalents$34.62M$70.20M$94.67M$109.83M$124.78M$60.53M
Operating Cash Flow-$35.89M-$75.41M-$65.59M-$135.24M-$106.52M-$54.26M-$47.62M
Capital Expenditures$79.0K$766.0K$327.0K$2.24M$1.54M$269.0K$908.0K
Shares Outstanding160.40M156.65M149.63M143.62M86.47M7.24M6.56M