TRSO stock

Transuite.Org Inc. (TRSO) financials · rev $117.8K

Transuite.Org Inc. (TRSO) rev $117.8K.

Cached annual income statement
LineFY2025FY2024
Revenue$117.8K$0
Cost of Revenue$256$0
Gross Profit$117.5K$0
Operating Income-$37.2M-$21.6K
Net Income-$37.2M-$22.6K
EPS (Diluted)$-1.52$0.00
Cached annual balance sheet
LineFY2025FY2024FY2023
Total Assets$337.5K$71.6K$189.0K
Current Assets$320.3K$31.1K$134.3K
Cash & Equivalents$3.7K$0$10.8K
Inventory$0$0$0
PP&E$17.2K$40.5K$0
Total Liabilities$809.9K$373.7K$222.3K
Current Liabilities$809.9K$225.3K$222.3K
Short-term Debt$0$0$0
Long-term Debt$0$0$0
Total Debt$0$0$0
Shareholders' Equity-$485.1K-$311.0K-$33.3K
Retained Earnings-$37.6M-$458.9K-$73.2K
Cached annual cash flow
LineFY2025FY2024
Operating Cash Flow-$69.3K-$7.5K
CapEx$0$0
Investing Cash Flow$3.4K$0
Financing Cash Flow$50.7K$2.0K
Dividends Paid$0$0
Net Change in Cash-$12.4K$0
Free Cash Flow$0$0

FAQ

What is TRSO P/E and revenue?

Transuite.Org Inc. (TRSO) rev $117.8K.

What is TRSO revenue?

Transuite.Org Inc. last cached revenue is $117.8K (FY2025).

Is TRSO profitable?

Transuite.Org Inc. last cached net income is -$37.2M.

What are TRSO total assets?

Transuite.Org Inc. last cached total assets are $337.5K.

What is TRSO free cash flow?

Transuite.Org Inc. last cached free cash flow is $0.

Not investment advice. Cached statements, not a live tape.