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NATICS CORP. Swings to $7,212 Loss as Q3 FY2026 Revenue Dries Up

NATICS CORP. posted a net loss of $7,212 for the three months ending January 31, 2026, reversing from a $411 profit in the same quarter a year earlier. Revenue fell to zero from $7,200.

NATICS CORP. swung to a net loss of $7,212 for the three months ending January 31, 2026, compared with net income of $411 in the same quarter of the prior year. The Wyoming-based company reported no revenue for the quarter, down from $7,200 a year earlier. Read more earnings reports.

For the nine months ending January 31, 2026, NATICS posted revenue of $20,400, up from $10,200 in the same period of fiscal 2025. The company's net loss for the nine-month period narrowed to $10,859 from $19,218 a year earlier.

Operating expenses for the third quarter climbed to $7,212 from $6,789 in the prior-year period. For the nine-month stretch, operating expenses rose to $31,259 from $29,418.

The company's stockholders' deficit widened to $68,342 as of January 31, 2026, compared with a deficit of $57,483 as of April 30, 2025. Total assets declined to $16,402 from $23,823 over the same period.

Cash and restricted cash fell to $5,667 as of January 31, 2026, down from $6,635 at the end of fiscal 2025 and $14,398 a year earlier. Total liabilities increased to $84,744 from $81,306 at the prior fiscal year-end.

For the nine months ending January 31, 2026, cash used in operations was $7,634, compared with $15,993 in the same period of the prior year. Cash from investing activities totaled $6,453 for the nine-month period.

The company reported retained losses of $93,595 as of January 31, 2026, compared with a deficit of $82,736 as of April 30, 2025. NATICS had 5.5 million common shares outstanding at quarter-end, unchanged from the prior fiscal year-end.

Period EndingTotal RevenueOperating ExpensesNet Income (Loss)
Q3 FY2026 (Jan 31, 2026)$0$7,212($7,212)
Q3 FY2025 (Jan 31, 2025)$7,200$6,789$411
9M FY2026 (Jan 31, 2026)$20,400$31,259($10,859)
9M FY2025 (Jan 31, 2025)$10,200$29,418($19,218)
Balance SheetJan 31, 2026Apr 30, 2025
Total Assets$16,402$23,823
Cash & Restricted Cash$5,667$6,635
Total Liabilities$84,744$81,306
Stockholders' Equity (Deficit)($68,342)($57,483)