Brand Engagement Network (BNAIW) Financials

Balance sheets

30 Sept 202430 June 202431 Mar 202430 Sept 202330 June 202331 Mar 202331 Dec 2022

Total Assets

$31.9 M(-6.2%)$34.1 M(-7.6%)$36.9 M-$18.8 M-$626.1 K

Current Assets

$1.2 M(-51.7%)$2.4 M(-43.8%)$4.4 M-$412.5 K-$16.9 K

Non Current Assets

$30.8 M(-2.7%)$31.6 M(-2.7%)$32.5 M-$18.4 M-$609.2 K

Total Liabilities

$14.2 M(+5.9%)$13.4 M(-17.5%)$16.2 M-$2.4 M-$666.2 K

Current Liabilities

$13.0 M(+1.2%)$12.9 M(-1.6%)$13.1 M-$1.8 M-$666.2 K

Long Term Liabilities

$1.2 M(+122.2%)$517.9 K(-83.5%)$3.1 M-$620.0 K-$0.0

Shareholders Equity

$17.8 M(-14.0%)$20.6 M(+0.2%)$20.6 M-$16.4 M--$40.1 K

Book Value

$744.7 K(-73.2%)$2.8 M(+0.7%)$2.8 M--$1.7 M--$640.4 K

Working Capital

-$11.9 M(-13.6%)-$10.4 M(-19.4%)-$8.8 M--$1.4 M--$649.3 K

Cash And Cash Equivalents

$72.9 K(-94.9%)$1.4 M(-56.7%)$3.3 M-$288.1 K-$2010.0

Accounts Payable

$5.4 M(+50.4%)$3.6 M(-19.1%)$4.4 M-$265.7 K-$580.7 K

Accounts Receivable

$30.9 K(+100.0%)$0.0(-100.0%)$7500.0-$0.0-$1000.0

Short Term Debt

$2.8 M(0%)$2.8 M(+1150.3%)$223.3 K-$892.0 K--

Long Term Debt

--$1.2 M-$620.0 K--

Total Debt

$2.8 M(0%)$2.8 M(+100.6%)$1.4 M-$1.5 M--

Debt To Equity

0.2(+14.3%)0.1(+100.0%)0.1-0.1--

Current Ratio

0.1(-52.6%)0.2(-42.4%)0.3-0.2-0.0

Quick Ratio

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Inventory

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Retained Earnings

-$29.1 M(-25.1%)-$23.2 M(-15.1%)-$20.2 M--$7.3 M--$1.6 M

PB Ratio

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Income statements

30 Sept 202430 June 202431 Mar 202430 Sept 202330 June 202331 Mar 202331 Dec 2022

EPS

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TTM EPS

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Revenue

$50.0 K(+100.0%)$0.0(-100.0%)$49.8 K(+100.0%)$0.0(0%)$0.0(0%)$0.0-

TTM Revenue

$99.8 K(+100.4%)$49.8 K(0%)$49.8 K(+100.0%)$0.0(0%)$0.0(0%)$0.0-

Total Expenses

$5.3 M(-15.3%)$6.3 M(-8.1%)$6.8 M(+166.7%)$2.6 M(-16.6%)$3.1 M(+16.6%)$2.6 M-

Operating Expenses

$5.3 M(-15.3%)$6.3 M(-8.1%)$6.8 M(+166.7%)$2.6 M(-16.6%)$3.1 M(+16.6%)$2.6 M-

Cost Of Goods Sold

$0.0(0%)$0.0-$0.0(0%)$0.0--

TTM Cost Of Goods Sold

$0.0(0%)$0.0-$0.0(0%)$0.0--

Gross Profit

$50.0 K(+100.0%)$0.0-$0.0(0%)$0.0--

TTM Gross Profit

$50.0 K(+100.0%)$0.0-$0.0(0%)$0.0--

Gross Margin

100.0%------

Operating Profit

-$5.3 M(+16.1%)-$6.3 M(+7.4%)-$6.8 M(-164.8%)-$2.6 M(+16.6%)-$3.1 M(-16.6%)-$2.6 M-

TTM Operating Profit

-$18.4 M(-17.3%)-$15.7 M(-25.9%)-$12.4 M(-50.2%)-$8.3 M(-44.9%)-$5.7 M(-116.6%)-$2.6 M-

Operating Margin

-10.6 K%------

Net Income

-$5.8 M(-90.9%)-$3.0 M(+55.7%)-$6.9 M(-166.6%)-$2.6 M(+16.9%)-$3.1 M(-17.8%)-$2.6 M-

TTM Net Income

-$15.8 M(-25.9%)-$12.5 M(+0.5%)-$12.6 M(-51.0%)-$8.3 M(-44.9%)-$5.7 M(-117.8%)-$2.6 M-

Net Margin

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EBIT

-$5.8 M(-91.6%)-$3.0 M(+55.8%)-$6.9 M(-169.2%)-$2.5 M(+18.0%)-$3.1 M(-17.8%)-$2.6 M-

TTM EBIT

-$15.7 M(-26.2%)-$12.4 M(+0.6%)-$12.5 M(-50.9%)-$8.3 M(-44.3%)-$5.7 M(-117.8%)-$2.6 M-

EBITDA

-$4.3 M(+24.0%)-$5.7 M(+15.4%)-$6.7 M(-185.8%)-$2.3 M(+19.0%)-$2.9 M(-10.3%)-$2.6 M-

TTM EBITDA

-$16.6 M(-13.4%)-$14.7 M(-23.2%)-$11.9 M(-51.8%)-$7.8 M(-42.5%)-$5.5 M(-110.3%)-$2.6 M-

Selling, General & Administrative Expenses

$4.2 M(-20.0%)$5.3 M(-18.9%)$6.5 M(+183.9%)$2.3 M(-17.9%)$2.8 M(+6.2%)$2.6 M-

TTM SG&A

$15.9 M(+13.7%)$14.0 M(+21.4%)$11.5 M(+50.3%)$7.7 M(+42.3%)$5.4 M(+106.2%)$2.6 M-

Depreciation And Amortization

$972.4 K(+42.5%)$682.2 K(+481.4%)$117.3 K(-44.0%)$209.7 K(-5.0%)$220.7 K(+1047.6%)$19.2 K-

TTM D&A

$1.8 M(+75.6%)$1.0 M(+84.3%)$547.8 K(+21.8%)$449.7 K(+87.4%)$239.9 K(+1147.6%)$19.2 K-

Interest Expense

$18.1 K(-7.0%)$19.4 K(-22.5%)$25.1 K(-27.4%)$34.5 K(+100.0%)$0.0(0%)$0.0-

TTM Interest Expense

$62.5 K(-20.8%)$79.0 K(+32.6%)$59.6 K(+72.6%)$34.5 K(+100.0%)$0.0(0%)$0.0-

Income Tax

$0.0(0%)$0.0-$0.0(0%)$0.0--

TTM Income Tax

$0.0(0%)$0.0-$0.0(0%)$0.0--

PE Ratio

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PS Ratio

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Cashflow statements

30 Sept 202430 June 202431 Mar 202430 Sept 202330 June 202331 Mar 202331 Dec 2022

Cash From Operations

-$3.1 M(+24.9%)-$4.1 M(+10.7%)-$4.5 M(-203.2%)-$1.5 M(-25.5%)-$1.2 M(-2056.3%)-$55.5 K-

TTM CFO

-$11.7 M(-15.3%)-$10.1 M(-39.6%)-$7.2 M(-163.3%)-$2.8 M(-119.9%)-$1.3 M(-2156.3%)-$55.5 K-

Cash From Investing

-$116.2 K(-262.9%)$71.3 K(+141.7%)-$171.1 K(+56.7%)-$395.2 K(+32.0%)-$581.1 K(-100.0%)$0.0-

TTM CFI

-$216.0 K(+56.4%)-$495.0 K(+56.9%)-$1.1 M(-17.5%)-$976.4 K(-68.0%)-$581.1 K(-100.0%)$0.0-

Cash From Financing

$1.8 M(-14.5%)$2.1 M(-66.6%)$6.3 M(+144.8%)$2.6 M(+25.4%)$2.1 M(+3763.3%)$53.5 K-

TTM CFF

$10.3 M(-7.0%)$11.0 M(+0.5%)$11.0 M(+133.5%)$4.7 M(+122.3%)$2.1 M(+3863.3%)$53.5 K-

Free Cash Flow

-$3.2 M(+20.6%)-$4.0 M(+15.4%)-$4.7 M(-149.0%)-$1.9 M(-24.7%)-$1.5 M(-2640.4%)-$55.5 K-

TTM FCF

-$11.9 M(-12.0%)-$10.6 M(-30.4%)-$8.1 M(-134.4%)-$3.5 M(-120.3%)-$1.6 M(-2740.4%)-$55.5 K-

CAPEX

$116.2 K-$171.1 K(-56.7%)$395.2 K---

TTM CAPEX

$287.3 K-$566.3 K(+43.3%)$395.2 K---

Dividends Paid

$0.0(0%)$0.0(0%)$0.0(0%)$0.0(0%)$0.0--

TTM Dividends Paid

$0.0(0%)$0.0(0%)$0.0(0%)$0.0(0%)$0.0--

TTM Dividend Per Share

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TTM Dividend Yield

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Payout Ratio

0.0%(0%)0.0%(0%)0.0%(0%)0.0%(0%)0.0%--