PETV
Income statement / Annual
Last year (2024), PetVivo Holdings, Inc.'s total revenue was $968,706.00,
an increase of 5.62% from the previous year.
In 2024, PetVivo Holdings, Inc.'s net income was -$10.96 M.
See PetVivo Holdings, Inc.’s key income statements, including revenue, expenses, profit, and income.
Period |
FY-2024
|
FY-2023
|
FY-2022
|
FY-2021
|
FY-2020
|
FY-2019
|
FY-2018
|
FY-2017
|
FY-2016
|
FY-2015
|
Period Ended |
03/31/2024 |
03/31/2023 |
03/31/2022 |
03/31/2021 |
03/31/2020 |
03/31/2019 |
03/31/2018 |
03/31/2017 |
03/31/2016 |
03/31/2015 |
Operating Revenue |
$968,706.00
|
$917,162.00
|
$115,586.00
|
$12,578.00
|
$3,588.00
|
$77,936.00
|
$1,510.00
|
$7,124.00
|
$75,000.00
|
$0.00
|
Cost of Revenue |
$229,180.00 |
$526,817.00 |
$201,154.00 |
$10,695.00 |
$19,710.00 |
$77,936.00 |
$643,388.00 |
$746,845.00 |
$743,631.00 |
$1.20 M |
Gross Profit |
$739,526.00 |
$390,345.00 |
-$85,568.00 |
$1,883.00 |
-$16,122.00 |
$0.00 |
-$641,878.00 |
-$739,721.00 |
-$668,631.00 |
-$1.20 M |
Gross Profit Ratio |
0.76 |
0.43 |
-0.74 |
0.15 |
-4.49 |
0 |
-425.08 |
-103.84 |
-8.92 |
0 |
Research and Development
Expenses |
$1.27 M
|
$690,577.00
|
$474,881.00
|
$98,230.00
|
$12,672.00
|
$200,982.00
|
$118,940.00
|
$167,891.00
|
$168,600.00
|
$4,396.00
|
General & Administrative
Expenses |
$6.69 M
|
$5.02 M
|
$3.15 M
|
$1.77 M
|
$1.23 M
|
$3.60 M
|
$2.17 M
|
$16.23 M
|
$3.16 M
|
$1.20 M
|
Selling & Marketing
Expenses |
$3.40 M
|
$3.41 M
|
$1.35 M
|
$94,977.00
|
$171,509.00
|
$38,348.00
|
$0.00
|
$0.00
|
$0.00
|
$0.00
|
Selling, General &
Administrative Expenses |
$10.09 M
|
$8.43 M
|
$4.50 M
|
$1.86 M
|
$1.40 M
|
$3.64 M
|
$2.17 M
|
$16.23 M
|
$3.16 M
|
$1.20 M
|
Other Expenses |
$386,874.00 |
$0.00 |
$0.00 |
$0.00 |
$559,544.00 |
$646,921.00 |
$2.17 M |
$16.23 M |
$3.16 M |
$0.00 |
Operating Expenses |
$11.36 M |
$9.12 M |
$4.97 M |
$1.96 M |
$1.97 M |
$4.49 M |
$2.29 M |
$16.40 M |
$3.33 M |
$1.20 M |
Cost And Expenses |
$11.59 M |
$9.65 M |
$5.17 M |
$1.97 M |
$1.99 M |
$4.57 M |
$2.29 M |
$16.40 M |
$3.33 M |
$1.20 M |
Interest Income |
$0.00 |
$15,844.00 |
$9,853.00 |
$228,595.00 |
$32,185.00 |
$84,950.00 |
$0.00 |
$0.00 |
$0.00 |
$0.00 |
Interest Expense |
-$6,463.00 |
-$15,844.00 |
-$41,533.00 |
$228,595.00 |
$32,185.00 |
$84,950.00 |
$74,021.00 |
$188,505.00 |
$270,582.00 |
$399,161.00 |
Depreciation &
Amortization |
$126,850.00
|
$114,434.00
|
$65,153.00
|
$86,712.00
|
$559,544.00
|
$646,921.00
|
$643,388.00
|
$746,845.00
|
$743,631.00
|
$10,480.00
|
EBITDA |
-$9.78 M
|
-$8.73 M
|
-$5.02 M
|
-$1.87 M
|
-$1.43 M
|
-$3.92 M
|
-$1.64 M
|
-$15.64 M
|
-$2.51 M
|
-$1.20 M
|
EBITDA Ratio |
-10.1 |
-9.52 |
-43.46 |
-148.85 |
-397.25 |
-50.32 |
-1087.37 |
-2195.79 |
-33.43 |
0 |
Operating Income Ratio
|
-10.96
|
-9.52
|
-43.75
|
-155.75
|
-561.91
|
-59.96
|
-1513.45
|
-2300.63
|
-43.35
|
0
|
Total Other
Income/Expenses Net |
-$327,492.00
|
$15,844.00
|
$41,533.00
|
-$1.56 M
|
-$66,602.00
|
-$103,800.00
|
$22,000.00
|
$56,460.00
|
-$1.21 M
|
$35,326.00
|
Income Before Tax |
-$10.96 M |
-$8.72 M |
-$5.01 M |
-$3.52 M |
-$2.08 M |
-$4.76 M |
-$2.34 M |
-$16.52 M |
-$4.73 M |
-$1.57 M |
Income Before Tax Ratio
|
-11.31
|
-9.5
|
-43.39
|
-280.07
|
-580.47
|
-61.05
|
-1547.91
|
-2319.16
|
-63.08
|
0
|
Income Tax Expense |
$720,829.00 |
-$15,844.00 |
-$73,213.00 |
$228,595.00 |
$32,185.00 |
$84,950.00 |
$74,021.00 |
-$990,165.00 |
-$1.08 M |
$388,681.00 |
Net Income |
-$10.96 M |
-$8.70 M |
-$4.94 M |
-$3.75 M |
-$2.11 M |
-$4.76 M |
-$2.34 M |
-$15.53 M |
-$3.65 M |
-$1.57 M |
Net Income Ratio |
-11.31 |
-9.49 |
-42.75 |
-298.25 |
-589.44 |
-61.05 |
-1547.91 |
-2180.17 |
-48.69 |
0 |
EPS |
-0.78 |
-0.85 |
-0.56 |
-0.61 |
-0.0997 |
-1.03 |
-0.61 |
-7.71 |
-2.07 |
-0.91 |
EPS Diluted |
-0.78 |
-0.85 |
-0.56 |
-0.61 |
-0.0997 |
-1.03 |
-0.61 |
-7.71 |
-2.07 |
-0.91 |
Weighted Average Shares
Out |
$13.97 M
|
$10.22 M
|
$8.76 M
|
$6.20 M
|
$21.22 M
|
$4.61 M
|
$3.81 M
|
$2.01 M
|
$1.77 M
|
$1.71 M
|
Weighted Average Shares
Out Diluted |
$13.97 M
|
$10.22 M
|
$8.76 M
|
$6.20 M
|
$21.22 M
|
$4.61 M
|
$3.81 M
|
$2.01 M
|
$1.77 M
|
$1.71 M
|
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