99 Acquisition Group Class A Common Stock (NNAG) Financials

Balance sheets

31 Mar 202431 Dec 202330 Sept 202330 June 202331 Mar 202331 Dec 202201 Sept 2022

Total Assets

$78.5 M(+1.0%)$77.8 M(+0.9%)$77.1 M(+42950.6%)$179.0 K(+12.8%)$158.7 K--

Current Assets

$278.6 K(-47.7%)$532.8 K(-40.6%)$897.4 K(+89640.0%)$1000.0(-84.1%)$6300.0--

Non Current Assets

$78.2 M(+1.3%)$77.2 M(+1.4%)$76.2 M(+42688.3%)$178.0 K(+16.9%)$152.3 K--

Total Liabilities

$3.8 M(+11.6%)$3.4 M(+4.9%)$3.2 M(+1952.6%)$157.8 K(+14.8%)$137.4 K--

Current Liabilities

$1.1 M(+138.0%)$477.1 K(-10.3%)$531.8 K(+237.0%)$157.8 K(+14.8%)$137.4 K--

Long Term Liabilities

$2.7 M(-9.1%)$2.9 M(+7.8%)$2.7 M(+100.0%)$0.0(0%)$0.0--

Shareholders Equity

$74.7 M(+0.5%)$74.4 M(+0.7%)$73.8 M(+346480.3%)$21.3 K(0%)$21.3 K--

Book Value

$74.7 M(+0.5%)$74.4 M(+0.7%)$73.8 M(+346480.3%)$21.3 K(0%)$21.3 K--

Working Capital

-$857.1 K(-1638.8%)$55.7 K(-84.8%)$365.6 K(+333.2%)-$156.8 K(-19.6%)-$131.1 K--

Cash And Cash Equivalents

$100.0(-100.0%)$321.5 K(-50.1%)$644.5 K(+64350.0%)$1000.0(-84.1%)$6300.0--

Accounts Payable

$313.4 K(+101.5%)$155.5 K(-46.4%)$290.2 K----

Accounts Receivable

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Short Term Debt

$102.6 K(0%)$102.6 K(0%)$102.6 K(+9.6%)$93.6 K(+12.0%)$83.6 K--

Long Term Debt

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Total Debt

$102.6 K(0%)$102.6 K(0%)$102.6 K(+9.6%)$93.6 K(+12.0%)$83.6 K(+100.0%)$0.0(0%)$0.0

Debt To Equity

0.0(0%)0.0(0%)0.0(-100.0%)4.4(+12.0%)3.9--

Current Ratio

0.3(-77.7%)1.1(-33.7%)1.7(+16800.0%)0.0(-80.0%)0.1--

Quick Ratio

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Inventory

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Retained Earnings

-$2.9 M(-17.7%)-$2.5 M(-11.6%)-$2.2 M(-60383.8%)-$3700.0(0%)-$3700.0--

PB Ratio

1.4(0%)1.4-----

Income statements

31 Mar 202431 Dec 202330 Sept 202330 June 202331 Mar 202331 Dec 202201 Sept 2022

EPS

$0.0(-25.4%)$0.1(+43.3%)$0.0(+100.0%)$0.0(+100.0%)-$0.0(+91.7%)-$0.0(-500.0%)-$0.0

TTM EPS

$0.1(+44.1%)$0.1(+151.8%)$0.0(+2506.7%)-$0.0(0%)-$0.0(-7.1%)-$0.0(-600.0%)-$0.0

Revenue

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TTM Revenue

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Total Expenses

$444.9 K(+43.6%)$309.9 K(+171.1%)$114.3 K(+100.0%)$0.0(-100.0%)$200.0(-93.5%)$3100.0(+675.0%)$400.0

Operating Expenses

$444.9 K(+43.6%)$309.9 K(+171.1%)$114.3 K(+100.0%)$0.0(-100.0%)$200.0(-93.5%)$3100.0(+675.0%)$400.0

Cost Of Goods Sold

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TTM Cost Of Goods Sold

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Gross Profit

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TTM Gross Profit

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Gross Margin

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Operating Profit

-$444.9 K(-43.6%)-$309.9 K(-171.1%)-$114.3 K(-100.0%)$0.0(+100.0%)-$200.0(+93.5%)-$3100.0(-675.0%)-$400.0

TTM Operating Profit

-$869.1 K(-104.8%)-$424.4 K(-260.9%)-$117.6 K(-3078.4%)-$3700.0(0%)-$3700.0(-5.7%)-$3500.0(-775.0%)-$400.0

Operating Margin

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Net Income

$365.3 K(-32.3%)$539.6 K(+148.9%)$216.8 K(+100.0%)$0.0(+100.0%)-$200.0(+93.5%)-$3100.0(-675.0%)-$400.0

TTM Net Income

$1.1 M(+48.3%)$756.2 K(+254.2%)$213.5 K(+5870.3%)-$3700.0(0%)-$3700.0(-5.7%)-$3500.0(-775.0%)-$400.0

Net Margin

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EBIT

-$444.9 K(-43.6%)-$309.9 K(-171.1%)-$114.3 K(-100.0%)$0.0(+100.0%)-$200.0(+93.5%)-$3100.0(-675.0%)-$400.0

TTM EBIT

-$869.1 K(-104.8%)-$424.4 K(-260.9%)-$117.6 K(-3078.4%)-$3700.0(0%)-$3700.0(-5.7%)-$3500.0(-775.0%)-$400.0

EBITDA

-$444.9 K(-43.6%)-$309.9 K(-171.1%)-$114.3 K(-100.0%)$0.0(+100.0%)-$200.0(+93.5%)-$3100.0(-675.0%)-$400.0

TTM EBITDA

-$869.1 K(-104.8%)-$424.4 K(-260.9%)-$117.6 K(-3078.4%)-$3700.0(0%)-$3700.0(-5.7%)-$3500.0(-775.0%)-$400.0

Selling, General & Administrative Expenses

$30.0 K(0%)$30.0 K(+127.3%)$13.2 K-$0.0(0%)$0.0(0%)$0.0

TTM SG&A

$73.2 K(+69.4%)$43.2 K(+227.3%)$13.2 K-$0.0(0%)$0.0(0%)$0.0

Depreciation And Amortization

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TTM D&A

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Interest Expense

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TTM Interest Expense

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Income Tax

$202.1 K(-4.9%)$212.5 K(+158.5%)$82.2 K-$0.0(0%)$0.0(0%)$0.0

TTM Income Tax

$496.8 K(+68.6%)$294.7 K(+258.5%)$82.2 K-$0.0(0%)$0.0(0%)$0.0

PE Ratio

78.6(-29.9%)112.1-----

PS Ratio

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Cashflow statements

31 Mar 202431 Dec 202330 Sept 202330 June 202331 Mar 202331 Dec 202201 Sept 2022

Cash From Operations

-$321.4 K(+0.5%)-$323.1 K(-669.3%)-$42.0 K(-100.0%)$0.0(+100.0%)-$200.0--

TTM CFO

-$686.5 K(-87.9%)-$365.3 K(-765.6%)-$42.2 K(-21000.0%)-$200.0(0%)-$200.0--

Cash From Investing

-$0.0(+100.0%)-$75.8 M----

TTM CFI

--$75.8 M(0%)-$75.8 M----

Cash From Financing

$0.0(0%)$0.0(-100.0%)$76.4 M(+1442279.3%)-$5300.0(-6.0%)-$5000.0--

TTM CFF

$76.4 M(+0.0%)$76.4 M(0%)$76.4 M(+742092.2%)-$10.3 K(-106.0%)-$5000.0--

Free Cash Flow

-$321.4 K(+0.5%)-$323.1 K(-669.3%)-$42.0 K(-100.0%)$0.0(+100.0%)-$200.0--

TTM FCF

-$686.5 K(-87.9%)-$365.3 K(-765.6%)-$42.2 K(-21000.0%)-$200.0(0%)-$200.0--

CAPEX

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TTM CAPEX

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Dividends Paid

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TTM Dividends Paid

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TTM Dividend Per Share

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TTM Dividend Yield

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Payout Ratio

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