Executive Summary
            
                Summary of QQ2 2025 results for Groove Botanicals Inc (GRVE): The quarter shows a net loss of $29,833 with no revenue disclosed. Operating income and EBITDA are both -$29,833, highlighting a cost-heavy structure without revenue to cover expenses. Liquidity and balance sheet metrics signal an acute solvency risk, with cash of $6,133 against total current liabilities of $947,289 and total liabilities of $947,289 versus total assets of $11,125, producing a negative equity position of -$936,164. Financing activities provided a $46,219 inflow which contributed to a modest net cash increase of $3,495 for the quarter, but the business remains heavily reliant on external funding to sustain operations. Management commentary is not available in the provided transcript dataset, limiting qualitative insight into strategic pivots. Investors should view the stock as high-risk until a credible revenue path or a material capital infusion is disclosed. A potential upside would require a clear plan to monetize assets, raise additional capital, or implement a revenue-generating strategy that materially improves cash flow and lowers the negative equity burden.            
         
        
        
            Key Performance Indicators
            
         
        
        
        
        
            Key Insights
            
                
                                    Revenue: Not disclosed for QQ2 2025 (null). Operating Income: -$29,833; YoY -7.33%; QoQ +18.35%. Net Income: -$29,833; YoY -8.86%; QoQ +18.35%. EPS: -0.0014; YoY 0%; QoQ +6.67%. EBITDA: -$29,833. Cash and cash equivalents: $6,133. Total assets: $11,125. Total liabilities: $947,289. Total stockholders’ equity: -$936,164. Current ratio: 0.0117. Quick ratio: 0.0117. Cash ratio: 0.0065. Return on assets: -2.68%. Return on equity: 0.0319%. Weighted average shares out: 59,643,062. Operating cash flo...
                
             
         
    
    
    
        
        
            Financial Highlights
            
                Revenue: Not disclosed for QQ2 2025 (null). Operating Income: -$29,833; YoY -7.33%; QoQ +18.35%. Net Income: -$29,833; YoY -8.86%; QoQ +18.35%. EPS: -0.0014; YoY 0%; QoQ +6.67%. EBITDA: -$29,833. Cash and cash equivalents: $6,133. Total assets: $11,125. Total liabilities: $947,289. Total stockholders’ equity: -$936,164. Current ratio: 0.0117. Quick ratio: 0.0117. Cash ratio: 0.0065. Return on assets: -2.68%. Return on equity: 0.0319%. Weighted average shares out: 59,643,062. Operating cash flow: -$42,724. Net change in cash: $3,495. Financing cash inflow: $46,219. Free cash flow: -$42,724.            
            
            Income Statement
            
                
                    
                    
                        | Metric | 
                        Value | 
                        YoY Change | 
                        QoQ Change | 
                    
                    
                    
                                                
                                | Operating Income | 
                                -29.83K | 
                                -7.33% | 
                                18.35% | 
                            
                                                    
                                | Net Income | 
                                -29.83K | 
                                -8.86% | 
                                18.35% | 
                            
                                                    
                                | EPS | 
                                0.00 | 
                                0.00% | 
                                6.67% | 
                            
                                            
                
             
         
        
        
            Key Financial Ratios
            
                                    
                    
                                    
                    
                                    
                    
                                    
                    
                        
                            operatingCashFlowPerShare                        
                        
                            $-0                        
                        
                                                    
                     
                                    
                    
                                    
                    
                                    
                    
                             
         
        
        
    
    
    
        
            Management Commentary
            
                No earnings call transcript data provided in the supplied dataset. Consequently, there are no management quotes or theme-driven highlights to group by (strategy, operations, market conditions) in this report.            
            
            
         
        
        
            Forward Guidance
            
                No explicit management guidance is disclosed in the provided data for QQ3 2025 and beyond. Given the QQ2 2025 results, key drivers of forward performance will be: (1) ability to secure additional equity or debt financing to stabilize liquidity, (2) any announced plans to monetize assets or partner on revenue-generating initiatives, and (3) tangible progress toward revenue generation to offset operating costs. Investors should monitor the cash runway (current cash $6,133 vs. quarterly operating cash outflow of $42,724), any announced capital raises, and any strategic initiatives that could translate into revenue. Until revenue materializes or capitalization is secured, the near-term outlook remains highly contingent on external financing and cost structure optimization.