Can B Corp (NASC)

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CIK 0001509957 · OTC · Wholesale-Drugs, Proprietaries & Druggists' Sundries

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

In fiscal 2023, Can B Corp reported revenue of $2.16M, down 67.8% from the prior year. The company ran a net loss, with a net margin of -451.7% and a gross margin of 16.6%. It held $10.13M in total assets against $11.13M in total liabilities.

Key ratios (FY2023)

16.6%
Gross margin
-347.3%
Operating margin
-451.7%
Net margin
-67.8%
Revenue growth (YoY)
Metric (FY)2023202220212020201920182017201620152014
Revenue$2.16M$6.69M$4.60M$1.71M$2.31M$668.6K$122.7K
Cost of Revenue$1.80M$4.07M$1.61M$278.1K$598.6K$405.5K$44.5K
Gross Profit$358.7K$2.61M$2.99M$1.43M$1.71M$263.1K$78.3K
Operating Income-$7.49M-$14.17M-$10.27M-$7.54M-$5.89M-$3.42M-$712.8K
Net Income-$9.74M-$14.92M-$12.17M-$8.88M-$5.90M-$4.11M-$2.14M-$665.0K-$3.59M
EPS (Diluted)$-0.77$-4.18$-9.06$-1.62$-2.87$-0.01
Total Assets$10.13M$15.56M$16.47M$3.91M$7.21M$3.69M$219.3K$137.0K$180.3K
Total Liabilities$11.13M$12.86M$10.86M$2.44M$564.7K$204.8K$1.95M
Shareholders' Equity-$1.00M$2.70M$5.62M$1.48M$6.65M$3.49M-$1.73M-$514.6K$103.3K$16.2K
Cash & Equivalents$34.0K$73.2K$449.0K$457.8K$46.5K$807.7K$1.7K$30.2K$18.4K$100.5K
Operating Cash Flow-$1.30M-$3.95M-$7.47M-$1.95M-$2.41M-$753.6K-$286.3K-$142.4K-$337.4K
Capital Expenditures$15.0K$538.8K$50.2K$1.11M$46.4K
Shares Outstanding4.42M2.83M2.83M369.6K2.68M440.57M225.57M146.01M145.36M