Company research / SLAIY

Solai Ltd (SLAIY)

SEC name SOLAI Ltd · CIK 0001517496 · OTC · Finance Services

  • Sector Finance & Real Estate

For the year ended 2025-12-31, Solai Ltd reported revenue of $23.00M. Revenue fell 30.1% from the prior annual period.

Key ratios (year ended 2025-12-31)

-46.9%
Gross margin (computed)
-150.9%
Operating margin
-147.3%
Net margin
-99.0%
Return on year-end equity
-30.1%
Revenue growth (YoY)

Computed by TickerFacts from revenue minus cost of revenue. This may differ from the issuer's reported gross profit or margin; check the revenue and cost definitions.

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Latest selected filing: Form 6-K (current report) · 2026-09-18

Annual financials

Annual flows and balances are grouped by their actual period end. Select a figure to open its SEC filing. n/a means a matching observation is unavailable. Free cash flow is operating cash flow minus capital expenditures, and EBITDA is operating income plus depreciation and amortization, for the same period, computed by TickerFacts.

Period ended2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-312016-12-31
Revenue$23.00M$32.92M$43.10M$57.02M$53.77M$2.17M$5.16M$18.34Mn/an/a
Cost of Revenue$33.79M$29.94M$40.05M$61.20M$39.51M$2.02M$7.92M$11.64Mn/an/a
Gross Profit (computed)-$10.79M$2.98M$3.05M-$4.17M$14.26M$151.0K-$2.76M$6.70Mn/an/a
R&D Expensen/a$69.0K$874.0K$2.21M$1.26M$1.94M$2.86M$9.00M$10.50M$10.31M
Operating Income-$34.70M-$8.01M-$25.19M-$89.64M-$44.32M-$16.99M-$73.95M-$50.10M-$53.93M-$52.80M
Depreciation & Amortizationn/an/an/an/an/a$7.02M$8.82M$9.10M$6.07Mn/a
EBITDAn/an/an/an/an/a-$9.97M-$65.14M-$41.01M-$47.86Mn/a
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-$0.07n/an/a-$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-$31.08Mn/a
Capital Expenditures$220.0K$1.18M$1.43M$13.78M$56.60M$225.0K$540.0K$5.18M$11.20M$3.87M
Free Cash Flow-$27.15M-$33.92M-$29.84M-$77.34M-$90.87M-$10.03M-$22.80M-$28.53M-$42.28Mn/a
Share Repurchasesn/an/an/an/an/an/an/an/a$2.66M$18.87M
Weighted Average Diluted Shares1.73B1.17B1.10B871.04M622.34M430.01M428.59M418.91M408.31M414.87M
EPS (Basic)-$0.02$0.01-$0.03-$0.18-$0.10-$0.07n/an/a-$0.12-$0.07