Revenue: Not disclosed in QQ2 2025. Cost of revenue: $62,039. Gross profit: -$280,711. Gross margin not meaningful due to revenue-less period. Operating expenses: $1,156,842 (SG&A $1,156,842; G&A $593,341). EBITDA: -$1,542,610. Operating income: -$1,218,881. Total other income/expenses: -$812,608. Income before tax: -$2,031,489. Net income: -$2,031,489. EPS: -$0.03. Weighted average shares outstanding: 66,190,772. Cash flow from operations: -$895,334. Free cash flow: -$946,411. Capital expenditure: -$51,077. Net cash change: -$888,541. Cash at period end: $3,405,400. Net debt: $8,138,134 (long-term debt $11,543,534; cash $3,405,400). Balance sheet—Total assets: $53,861,079; Total liabilities: $18,315,714; Total stockholders’ equity: $35,545,365. Current ratio: 8.94; Debt/Equity: 0.325; Debt/Assets: 0.214. YoY changes (where applicable): Gross profit YoY of -153.12%; Net income YoY of -29.02%; EPS YoY of -12.36%; QoQ changes show a gross margin deterioration and ongoing cash burn with limited revenue base.