Company research / VJET

Catheter Precision, Inc. (VJET)

Also trades as VTAK. Every security a company lists rests on one set of financial statements, so these figures cover the whole company.

CIK 0001716621 · NYSE · Surgical & Medical Instruments & Apparatus

  • Sector Manufacturing
  • Incorporated DE
  • Fiscal year ends Dec 31

For the year ended 2025-12-31, Catheter Precision, Inc. reported revenue of $819.0K. Revenue grew 95.0% from the prior annual period. Over the twelve months to 2026-06-30, revenue was $1.92M.

Key ratios (year ended 2025-12-31)

92.3%
Gross margin
n/m
Operating margin
n/m
Net margin
-243.6%
Return on year-end equity
95.0%
Revenue growth (YoY)

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Latest selected filing: Form 8-K (current report) · 2026-10-02

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.

The first column covers the twelve months to 2026-06-30 from the latest quarterly report: flows are the last fiscal year plus this year to date minus the same months a year earlier, and balances are as of that date. Per-share figures are annual only.

Stock splits: 1-for-19, first reflected in a filing dated 2025-11-13. Figures are as filed: per-share figures and share counts last reported before a split are on the old share basis, so changes and growth rates across a split are not shown. Splits are read from the filings' own restatements, so a share conversion in a merger or reorganization shows up the same way.

Period endedTTM to
2026-06-30
2025-12-312024-12-312023-12-312022-12-312021-12-312020-12-312019-12-312018-12-312017-12-31
Revenue$1.92M$819.0K$420.0K$442.0K$14.0K$22.0K$259.0K$7.20M$6.26M$5.87M
Cost of Revenue$1.00M$63.0K$42.0K$30.0K$161.0K$1.56M$2.17M$8.85M$4.21M$4.17M
Gross Profit$914.0K$756.0K$378.0K$412.0K-$147.0K-$1.54M-$1.91M-$1.65M$2.05M$1.71M
R&D Expense$895.0K$862.0K$272.0K$475.0K$6.39M$12.25M$8.96M$4.53M$2.78M$4.52M
Operating Income-$19.16M-$21.14M-$11.24M-$78.12M-$26.96M-$29.27M-$35.40M-$57.73M-$31.16M-$17.76M
Depreciation & Amortizationn/a$2.12M$2.11M$2.08M$421.0K$1.56M$2.37M$1.75Mn/an/a
EBITDAn/a-$19.03M-$9.13M-$76.04M-$26.54M-$27.70M-$33.04M-$55.98Mn/an/a
Net Income-$13.01M-$17.18M-$16.64M-$70.57M-$26.86M-$25.07M-$36.05M-$56.96M-$30.83M-$17.77M
EPS (Diluted)n/an/an/an/a-$25.98-$248.22n/an/an/an/a
Total Assets$36.87M$15.86M$27.77M$30.74M$16.84M$21.04M$33.44M$44.08M$74.03M$11.27M
Total Liabilities$19.73M$9.21M$16.01M$9.54M$7.58M$7.37M$12.29M$10.93M$7.33M$18.88M
Long-Term Debtn/a$3.08Mn/an/an/an/an/a$558.0K$850.0Kn/a
Shareholders' Equity$17.56M$7.05M$11.76M$21.19M$9.26M$13.67M$21.15M$33.15M$66.70M-$7.62M
Cash & Equivalents$643.0K$88.0K$2.87M$3.56M$15.86M$15.04M$23.91M$14.58M$64.31M$8.24M
Operating Cash Flow-$9.35M-$8.30M-$9.27M-$20.62M-$22.57M-$27.62M-$28.30M-$33.17M-$18.51M-$5.52M
Capital Expenditures$21.0K$17.0K$67.0K$76.0K$17.0K$265.0K$67.0K$268.0K$582.0K$547.0K
Free Cash Flow-$9.37M-$8.31M-$9.34M-$20.70M-$22.59M-$27.89M-$28.37M-$33.44M-$19.09M-$6.07M
Shares Outstanding3.61M1.74M421.3K702.7K2.16M140.0K3.2K550.8K12.69M7.89M
Weighted Average Diluted Sharesn/an/an/an/a1.03M101.0Kn/an/an/an/a
EPS (Basic)n/a-$15.90-$126.91-$129.88-$25.98-$248.22n/an/an/an/a

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