RYTHM, Inc. (RYM)

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CIK 0001800637 · Nasdaq · Agricultural Services

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

In fiscal 2025, RYTHM, Inc. reported revenue of $17.28M, up 95916.7% from the prior year. The company ran a net loss, with a net margin of -192.4% and a gross margin of 59.0%. It held $106.68M in total assets against $93.66M in total liabilities.

Key ratios (FY2025)

59.0%
Gross margin
-187.1%
Operating margin
-192.4%
Net margin
-255.4%
Return on equity
+95916.7%
Revenue growth (YoY)
Metric (FY)202520242023202220212020
Revenue$17.28M$18.0K$15.14M$58.26M$59.86M$12.09M
Cost of Revenue$7.09M$89.0K$11.12M$90.05M$54.62M$11.52M
Gross Profit$10.19M-$71.0K$4.02M-$31.80M$5.23M$570.0K
Operating Income-$32.34M-$5.07M-$13.02M-$193.33M-$35.07M-$12.62M
Net Income-$33.26M-$41.75M-$18.65M-$188.17M-$32.47M-$21.62M
EPS (Diluted)$-16.68$-40.92$-187.64$-902.19$-1.69$-5.32
Total Assets$106.68M$54.02M$45.27M$69.69M$182.05M$21.84M
Total Liabilities$93.66M$25.93M$59.98M$78.73M$44.62M$28.29M
Shareholders' Equity$13.02M$28.09M-$14.71M-$9.27M$137.06M-$6.68M
Cash & Equivalents$32.20M$31.17M$434.0K$10.46M$12.01M
Operating Cash Flow-$23.54M-$11.58M-$30.98M-$72.02M-$30.15M-$14.78M
Capital Expenditures$4.0K$59.0K$8.13M$2.22M$136.0K
Shares Outstanding2.15M1.95M113.4K1.04M111.0K4.21M