PWDY POWERDYNE INTERNATIONAL, INC.

PWDY financial statements, revenue, balance sheet, cash flow, and SEC filings

CIK: 1435617 Exchange: OTC SIC: 7374 (Services-Computer Processing & Data Preparation)
Showing 3 of 14 annual and 0 of 50 quarterly periods. Full history available with a free account or via API.

▼ Company Profile

Filer Category
Non-accelerated filer<br>Smaller reporting company<br>Emerging growth company
Entity Type
Operating
Public Float
$3.48M (Dec 2025)
Industry (SIC)
7374 Services-Computer Processing & Data Preparation
Incorporated
DE
Fiscal Year End
December (1231)
Phone
401-739-3300
EIN
205572576
Headquarters
NORTH READING, MA, 01864
Public Float History
Market value of shares held by public investors, reported in annual DEI filings.
Former Names: Greenmark Acquisition CORP (2008–2011) · Greenlight Acquisition CORP (2008–2008)

▼ Key Metrics (TTM)

As of Jun 30, 2026
Financials
Revenue
$973.84K
Net Income
$-298.85K
Total Assets
$357.81K
Total Equity
$-486.43K
Total Debt
-
Free Cash Flow
-
Ratios
Gross Margin
45.1%
Net Margin
-30.7%
Return on Equity
61.4%
Return on Assets
-83.5%
Current Ratio
0.32x

▼ FY 2025 Summary Analysis

Annual report ending Dec 31, 2025

Overview and Growth

POWERDYNE INTERNATIONAL, INC. generated $1.16M of revenue in fiscal 2025, with net loss of $251.41K and an operating cash outflow of $192.00K. Revenue of $1.16M sets the scale for evaluating how effectively sales translated into profit and cash during the year. Revenue was 7.2% below fiscal 2024 revenue of $1.25M, marking a top-line contraction. Diluted shares averaged 1.88B; this is the reported share base over which the company’s diluted per-share earnings were spread. The diluted share count was 0.0% higher than fiscal 2024, when diluted shares averaged 1.88B, adding context to the EPS comparison. The company employed $341.92K of total assets, the balance-sheet base supporting its current operating and cash-flow results. Revenue equaled 3.4x of total assets, indicating how much reported top-line activity the company produced relative to its period-end asset base.

Profitability

Gross profit was $378.43K, representing the portion of revenue remaining after the reported cost of revenue and before operating expenses. Gross profit represented 32.6% of revenue, showing how much of the top line remained after direct costs. The company ended the period with a net loss of $251.41K, extending the operating result through all remaining items. The net loss equaled 21.7% of revenue, showing the bottom-line deficit relative to the company’s sales base. The pretax result was a loss of $251.41K, establishing the deficit before tax effects. The pretax loss equaled 21.7% of revenue, measuring the pre-tax deficit against sales. The loss-to-assets relationship was 73.5%, placing the bottom-line deficit against the company’s resource base. The net loss widened to $251.41K from $179.58K in fiscal 2024.

Liquidity and Capital Structure

The company held $341.92K of assets against $846.88K of liabilities and -$504.95K of equity, revealing how the asset base was financed. Equity was negative at -$504.95K, meaning liabilities exceeded the residual book value available to shareholders and weakening balance-sheet resilience. Current assets were $273.78K against $778.73K of current liabilities, framing the resources and obligations classified within the near-term balance-sheet horizon. At 0.35x, current liabilities exceeded current assets and placed pressure on the company’s near-term liquidity position. Equity equaled -147.7% of assets, showing the shareholder-capital layer within the company’s balance sheet. Liabilities represented 247.7% of total assets, quantifying the liability-funded share of the company’s resource base. Compared with $219.33K in fiscal 2024, the current asset base moved 55.9% and finished higher.

Cash Flow and Earnings Quality

The company reported an operating cash outflow of $192.00K, rather than cash generation from operations. Compared with a $204.03K operating cash outflow in fiscal 2024, the current outflow improved to $192.00K.
Based on the annual report for the fiscal year ending Dec 31, 2025. Analysis generated .
Sources and calculation details

Reported values are preserved. Derived values use the listed inputs; unavailable inputs remain blank.

Field-level sources for this historical record are unavailable until it is rebuilt from SEC facts.

Annual (FY)
Quarterly 🔒
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Annual financial statements for POWERDYNE INTERNATIONAL, INC.
Metric FY2025 📄 FY2024 📄 FY2023 📄
Income Statement
REVENUE
Revenue $1.16M $1.25M $1.45M
Cost of Revenue $782.55K $885.70K $1.02M
Gross Profit $378.43K $365.76K $430.84K
OPERATING EXPENSES
NON-OPERATING INCOME / EXPENSE
Pretax Income $-251.41K $-179.58K $-84.17K
Net Income $-251.41K $-179.58K $-84.17K
PER SHARE & SUPPLEMENTAL
Diluted EPS - - $0.00
Diluted Shares 1.88B 1.88B 1.88B
Depreciation & Amortization $0 $0 $0
Balance Sheet
ASSETS
Accounts Receivable $76.02K $87.46K $70.88K
Inventory $94.56K $74.49K $77.12K
Other Current Assets - $2.66K -
Current Assets $273.78K $219.33K $232.01K
Noncurrent Assets $68.15K $0 $0
Total Assets $341.92K $219.33K $232.01K
LIABILITIES
Accounts Payable $109.74K $69.30K $62.57K
Short-term Debt $87.05K - -
Other Current Liabilities (derived) $581.94K - -
Current Liabilities $778.73K $472.87K $306.07K
Noncurrent Liabilities $68.15K $0 -
Total Liabilities $846.88K $472.87K -
EQUITY
Common Stock $188.49K $188.49K $188.49K
Additional Paid-in Capital $4.81M $4.81M $4.81M
Retained Earnings $-5.51M $-5.26M $-5.08M
Total Equity $-504.95K $-253.54K $-74.06K
Total Liabilities & Equity $341.92K $219.33K $232.01K
SUPPLEMENTAL
Shares Outstanding 1.88B 1.88B 1.88B
Check: A − (L + E + NCI) - - $306.07K
Cash Flow Statement
Cash from Operations $-192.01K $-204.03K $35.04K
Capital Expenditures - - -
Cash from Investing - - -
Cash from Financing $193.81K $165.50K $15.00K
Free Cash Flow - - -
Beginning Cash (CFS) $45.58K $84.00K -
Net Change in Cash - - -
Effect of FX on Cash - - -
Calculated Ending Cash - - -
Cash per BS - - -
Cash scope difference (CFS − BS) - - -
Cash per CFS $47.38K $45.58K $84.00K

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▼ Frequently Asked Questions

What is POWERDYNE INTERNATIONAL, INC.'s annual revenue?

POWERDYNE INTERNATIONAL, INC. reported $973.84K in revenue for trailing twelve months (ending June 2026). Revenue figures are sourced from the company's annual SEC EDGAR filing.

Is POWERDYNE INTERNATIONAL, INC. profitable?

No. POWERDYNE INTERNATIONAL, INC. reported $-298.85K in net income for trailing twelve months. Profitability data is based on the company's most recent annual report filed with the SEC.