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CXJ GROUP Posts $99,214 Net Loss on $145,267 Revenue in Q3 FY2026

CXJ GROUP CO., Limited, a Nevada-incorporated small business, reported a net loss of $99,214 for the three months ended February 28, 2026, widening from a $64,638 loss in the prior-year quarter. Revenue totaled $145,267 for the period.

CXJ GROUP CO., Limited, a Nevada-incorporated small business, posted a net loss of $99,214 for the three months ended February 28, 2026, compared with a net loss of $64,638 in the same quarter a year earlier. Revenue for the quarter totaled $145,267, up from $64,541 in the prior-year period. Read more earnings reports.

For the nine months ended February 28, 2026, the company reported a net loss of $244,288, slightly improved from a loss of $249,898 in the same period of fiscal 2025. Nine-month revenue reached $301,674, down from $279,798 a year earlier.

Operating losses for the December-to-February quarter came in at $99,216, wider than the $64,651 operating loss reported in the year-ago quarter. The company recorded gross profit of $70,143 in Q3 FY2026 against $62,098 in Q3 FY2025. Operating expenses totaled $169,359 for the latest quarter, up from $126,749 in the prior-year period.

Cash and cash equivalents stood at $144,747 as of February 28, 2026, a sharp increase from $10,037 as of May 31, 2025. The company generated $129,802 in cash from operations for the nine months ended February 28, 2026, reversing a cash outflow of $395,784 in the prior-year period.

Total assets rose to $448,234 as of February 28, 2026, from $300,175 at the end of fiscal 2025. Total liabilities increased to $2,293,798 from $1,855,286 over the same period. The company reported negative stockholders' equity of $1,845,564 as of the end of Q3 FY2026, compared with negative equity of $1,555,111 at the prior fiscal year-end.

Retained deficit deepened to $7,891,793 as of February 28, 2026, from $7,647,505 as of May 31, 2025. The company had 102,270,517 common shares outstanding at the end of the quarter, unchanged from the prior fiscal year-end.

MetricQ3 FY2026Q3 FY2025
Revenue$145,267$64,541
Gross Profit$70,143$62,098
Operating Loss($99,216)($64,651)
Net Loss($99,214)($64,638)
EPS (Diluted)($0.00)($0.00)
Balance Sheet ItemFeb 28, 2026May 31, 2025
Cash$144,747$10,037
Total Assets$448,234$300,175
Total Liabilities$2,293,798$1,855,286
Stockholders' Equity($1,845,564)($1,555,111)