Interactive Strength Inc. (TRNR) Financials

$2.57

south_east
-$0.06 (-2.28%)
Day's range
$2.56
Day's range
$2.68

TRNR Income statement / Annual

Last year (2023), Interactive Strength Inc.'s total revenue was $962,000.00, an increase of 41.26% from the previous year. In 2023, Interactive Strength Inc.'s net income was -$51.37 M. See Interactive Strength Inc.,s key income statements, including revenue, expenses, profit, and income.

Period FY-2023 FY-2022 FY-2021 FY-2020
Period Ended 12/31/2023 12/31/2022 12/31/2021 12/31/2020
Operating Revenue $962,000.00 $681,000.00 $323,000.00 $0.00
Cost of Revenue $6.49 M $9.55 M $5.17 M $358,000.00
Gross Profit -$5.53 M -$8.87 M -$4.84 M -$358,000.00
Gross Profit Ratio -5.75 -13.02 -14.99 0
Research and Development Expenses $10.04 M $19.96 M $16.30 M $8.04 M
General & Administrative Expenses $37.28 M $19.30 M $9.44 M $6.60 M
Selling & Marketing Expenses $1.63 M $6.22 M $6.57 M $1.54 M
Selling, General & Administrative Expenses $38.91 M $25.52 M $16.00 M $8.14 M
Other Expenses $0.00 -$3.93 M $5.25 M $4.09 M
Operating Expenses $48.95 M $45.48 M $32.30 M $16.18 M
Cost And Expenses $55.44 M $55.03 M $37.47 M $16.54 M
Interest Income $0.00 $0.00 $0.00 $0.00
Interest Expense $1.59 M $952,000.00 $935,000.00 $257,000.00
Depreciation & Amortization $6.61 M $6.14 M $2.19 M $137,000.00
EBITDA -$43.26 M -$51.13 M -$29.71 M -$12.31 M
EBITDA Ratio -44.97 -75.69 -91.98 0
Operating Income Ratio -56.63 -79.8 -115 0
Total Other Income/Expenses Net $3.11 M -$3.88 M $4.31 M $3.83 M
Income Before Tax -$51.37 M -$58.23 M -$32.84 M -$12.71 M
Income Before Tax Ratio -53.4 -85.5 -101.66 0
Income Tax Expense $0.00 -$2.98 M $4,000.00 -$1.53 M
Net Income -$51.37 M -$58.23 M -$32.84 M -$11.18 M
Net Income Ratio -53.4 -85.5 -101.67 0
EPS -166.15 -162.56 -91.69 -31.222
EPS Diluted -166.15 -162.56 -91.69 -31.222
Weighted Average Shares Out $309,199.00 $358,176.00 $358,176.00 $358,176.00
Weighted Average Shares Out Diluted $309,199.00 $358,176.00 $358,176.00 $358,176.00
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