QUOTEMEDIA INC (QMCI)

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CIK 0001101433 · OTC · Services-Business Services, NEC

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

In fiscal 2025, QUOTEMEDIA INC reported revenue of $20.25M, up 8.1% from the prior year. The company ran a net loss, with a net margin of -11.4% and a gross margin of 46.8%.

Key ratios (FY2025)

46.8%
Gross margin
-10.4%
Operating margin
-11.4%
Net margin
+8.1%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$20.25M$18.74M$18.91M$17.53M$15.17M$12.40M$11.79M$11.13M$9.49M
Cost of Revenue$10.77M$9.87M$9.26M$8.97M$8.44M$6.70M$5.78M$5.53M$5.21M$5.07M
Gross Profit$9.48M$8.87M$9.64M$8.56M$6.74M$5.70M$6.01M$5.60M$4.28M$3.80M
Operating Income-$2.10M-$1.28M$411.4K$490.7K-$22.4K-$643.7K$599.7K$499.5K-$349.2K-$613.4K
Net Income-$2.32M-$1.33M$361.6K$444.5K$212.4K-$646.3K$559.0K$497.9K-$1.51M-$1.68M
EPS (Diluted)$-0.03$-0.01$0.00$0.00$0.00$-0.01$0.00$0.00$-0.02
Total Assets$5.77M$7.56M$7.18M$6.56M$5.58M$4.95M$4.43M$3.54M$2.65M$2.45M
Shareholders' Equity-$840.3K$1.42M-$859.9K-$1.23M-$1.69M-$1.93M-$810.7K-$1.78M-$2.71M-$10.54M
Cash & Equivalents$478.0K$258.7K$417.9K$815.5K$810.3K$451.2K$271.7K
Operating Cash Flow$1.11M$3.68M$3.15M$3.14M$2.16M$1.33M$1.77M$1.50M$1.11M$844.3K
Capital Expenditures$56.6K$37.7K$81.8K$164.2K$94.4K$134.2K$325.7K$190.2K$89.5K$134.4K
Shares Outstanding90.48M90.48M90.48M90.48M90.48M90.48M90.48M90.48M90.48M90.48M