RemSleep Holdings Inc. (RMSL)

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CIK 0001412126 · OTC · Services-Personal Services

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

In fiscal 2025, RemSleep Holdings Inc. reported revenue of $16.7K, down 85.7% from the prior year. The company ran a net loss, with a net margin of -18062.9% and a gross margin of 24.0%. It held $339.8K in total assets against $307.7K in total liabilities.

Key ratios (FY2025)

24.0%
Gross margin
-16552.7%
Operating margin
-18062.9%
Net margin
-9420.2%
Return on equity
-85.7%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$16.7K$117.2K$203.7K$320.7K
Cost of Revenue$12.7K$99.1K$960.5K$248.4K
Gross Profit$4.0K$18.0K-$756.7K$72.3K
Operating Income-$2.77M-$793.5K-$1.77M-$1.22M-$425.7K-$469.8K-$2.34M-$294.4K-$651.5K-$197.1K
Net Income-$3.02M-$1.08M-$1.78M-$1.49M-$3.83M-$1.18M-$3.89M-$412.7K-$654.0K-$199.6K
EPS (Diluted)$0.00$0.00$0.00$0.00$-0.01
Total Assets$339.8K$591.7K$1.21M$3.36M$3.50M$230.7K$253.3K$57.1K$183.8K$12.8K
Total Liabilities$307.7K$255.0K$275.6K$652.4K$880.0K$1.10M$1.26M$637.2K$681.3K$371.5K
Shareholders' Equity$32.1K$336.7K$930.7K$2.71M$2.62M-$870.5K-$1.01M-$580.1K-$497.5K-$358.7K
Cash & Equivalents$214.5K$463.3K$719.1K$3.38M$114.2K$119.6K$16.6K$2.0K$0
Operating Cash Flow-$502.8K-$683.1K-$791.3K-$2.23M-$350.0K-$335.3K-$236.0K-$111.6K-$94.9K-$133.2K
Capital Expenditures$124.7K$147.6K$122.3K$67.3K$36.7K$86.9K$42.5K$0
Shares Outstanding1.66B1.52B1.46B1.46B1.23B368.06M116.27M4.32M3.61M3.27M