SOLAI Ltd (SLAI)

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CIK 0001517496 · NYSE · Finance Services

  • Sector Finance & Real Estate

In fiscal 2025, SOLAI Ltd reported revenue of $23.00M, down 30.1% from the prior year. The company ran a net loss, with a net margin of -147.3%. It held $45.61M in total assets against $10.88M in total liabilities.

Key ratios (FY2025)

-150.9%
Operating margin
-147.3%
Net margin
-99.0%
Return on equity
-30.1%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019201820172016
Revenue$23.00M$32.92M$43.10M$57.02M$53.77M$2.17M$5.16M$18.34M
Cost of Revenue$33.79M$29.94M$40.05M$61.20M$39.51M$2.02M$7.92M$11.64M
Operating Income-$34.70M-$8.01M-$25.19M-$89.64M-$44.32M-$16.99M-$73.95M-$50.10M-$53.93M-$52.80M
Net Income-$33.88M$12.07M-$28.71M-$155.41M-$62.40M-$32.41M-$94.42M-$65.69M-$48.74M-$29.23M
EPS (Diluted)$-0.02$0.01$-0.03$-0.18$-0.10$-0.07$-0.12$-0.07
Total Assets$45.61M$86.33M$72.60M$86.80M$294.23M$72.10M$99.94M$181.31M$269.67M$299.13M
Total Liabilities$10.88M$19.55M$47.46M$33.68M$88.97M$12.25M$16.07M$16.23M$34.30M$38.72M
Shareholders' Equity$34.23M$56.89M$25.13M$53.13M$179.89M$61.83M$83.95M$162.40M$216.68M$246.22M
Cash & Equivalents$1.42M$1.81M$3.24M$5.50M$17.67M$47.31M$51.89M$63.29M$81.33M$103.45M
Operating Cash Flow-$26.93M-$32.74M-$28.41M-$63.56M-$34.27M-$9.81M-$22.26M-$23.35M-$31.08M
Capital Expenditures$220.0K$1.18M$1.43M$13.78M$56.60M$225.0K$540.0K$5.18M$11.20M$3.87M
Shares Outstanding1.73B1.17B1.10B871.04M622.34M430.01M428.59M418.91M408.31M414.87M