Polomar Health Services, Inc. (PMHS)

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Financial charts

Revenue

Net income

Free cash flow

Total cash / debt

CashTotal debt

Financial statements

4 annual periodsNewest to oldest
2025202420232022
Revenue$648,231$58,824$41,844$34,526
Gross profit$460,099$30,903$37,550$34,526
Operating expenses$11.0M$1.3M$478,382$215,979
Operating income−$10.6M−$1.3M−$440,832−$181,453
EBITDAderived−$776,936−$1.0M−$434,999
Net income−$10.7M−$1.3M−$587,997−$181,124
Basic EPSper diluted share-$0.39-$0.05-$0.02$0.00
Diluted EPSper diluted share-$0.39-$0.05-$0.02$0.00

Insider buys & sells

Jul 1, 2024Jun 30, 2026
Buys0$0.00 disclosed value
Sells (SEC code S)0$0.00 disclosed value
0 recent transactions
No insider transactions transactions were reported in the stored SEC coverage.