Interactive Strength, Inc. (TRNR)
↓ Download CSV- Sector Manufacturing
- Incorporated DE
- Fiscal year ends Dec 31
In fiscal 2025, Interactive Strength, Inc. reported revenue of $11.53M, up 114.3% from the prior year. The company ran a net loss, with a net margin of -207.9% and a gross margin of 7.9%. It held $46.84M in total assets against $38.15M in total liabilities.
Key ratios (FY2025)
7.9%
Gross margin
-172.2%
Operating margin
-207.9%
Net margin
-375.1%
Return on equity
+114.3%
Revenue growth (YoY)
| Metric (FY) | 2025 | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|---|
| Revenue | $11.53M | $5.38M | $962.0K | $681.0K | — |
| Cost of Revenue | $10.62M | $8.16M | $6.49M | $9.55M | — |
| Gross Profit | $913.0K | -$2.78M | -$5.53M | -$8.87M | — |
| Operating Income | -$19.86M | -$29.18M | -$54.48M | -$54.34M | — |
| Net Income | -$23.97M | -$34.93M | -$51.37M | -$58.23M | — |
| EPS (Diluted) | $-171.77 | $-16328.50 | $-16614.85 | $-119.49 | — |
| Total Assets | $46.84M | $34.17M | $16.80M | $24.45M | — |
| Total Liabilities | $38.15M | $27.05M | $22.35M | $27.18M | — |
| Shareholders' Equity | $6.39M | $7.12M | -$5.55M | -$2.73M | -$19.66M |
| Cash & Equivalents | $512.0K | $138.0K | $0 | $226.0K | — |
| Operating Cash Flow | -$10.41M | -$14.81M | -$15.43M | -$35.55M | — |
| Capital Expenditures | $94.0K | $0 | $0 | $577.0K | — |
| Shares Outstanding | 307.5K | 14.0K | 3.5K | 2.45M | — |