Crisp Momentum CRSF Ratios (2021-2026)

OTC CRSF
$0.02 +0.00 (+0.00%)
At close: Sep 4, 2026 · 4:00 PM EDT
Reported Financials

Crisp Momentum Quarterly Ratios

Periods 20 quarters
Latest Apr 2026

Crisp Momentum reported a gross margin of 100.00% and a net margin of -2,730,686.86% for the quarter ended Apr 2026. These financial ratios cover 20 quarters of results from Jul 2021 through Apr 2026, standardized by Business Quant from the company’s SEC filings.

Ratios Jul2021 Oct2021 Jan2022 Apr2022 Jul2022 Oct2022 Jan2023 Apr2023 Jul2023 Oct2023 Jan2024 Apr2024 Jul2024 Oct2024 Jan2025 Apr2025 Jul2025 Oct2025 Jan2026 Apr2026
Profitability
Gross Margin 100.00%100.00%100.00%-71.14%89.33%92.34%100.00%100.00%100.00%100.00%100.00%100.00%100.00%100.00%
EBT Margin -11,005.95%-12,793.70%-1,248.45%-3,072.27%-5,500.21%-1,753.55%-316.40%-321,157.14%-93,671.79%-315,877.01%-5,609,280.88%-35,118.34%-1,223,240.45%-2,730,686.86%
EBIT Margin -11,005.95%-12,793.70%-1,248.45%-3,072.27%-5,424.75%-1,576.34%-163.35%-305,321.43%-55,576.92%-297,891.95%-5,612,301.47%-35,110.56%-1,232,319.72%-2,745,833.71%
EBITDA Margin -11,005.95%-12,793.70%-1,248.45%-3,072.27%-5,424.75%-1,576.34%-163.35%-305,321.43%-55,576.92%-297,891.95%-5,612,301.47%-35,110.56%-1,232,319.72%-2,745,833.71%
Operating Margin -11,005.95%-12,793.70%-1,248.45%-3,072.27%-5,424.75%-1,576.34%-163.35%-305,321.43%-55,576.92%-297,891.95%-5,612,301.47%-35,110.56%-1,232,319.72%-2,745,833.71%
Net Margin -11,005.95%-12,793.70%-1,248.45%-3,072.27%-5,500.21%-1,753.55%-316.40%-321,157.14%-93,671.79%-315,877.01%-5,609,280.88%-35,118.34%-1,223,240.45%-2,730,686.86%
FCF Margin -5,051.28%-4,205.30%-468.45%-1,206.58%-2,272.49%-1,334.11%-157.56%-43,521.43%-11,233.33%-36,032.18%-195,114.71%-24,513.35%-255,255.08%-284,668.57%
Efficiency
Assets AverageAssets Avg. 0.06M0.09M0.38M3.22M5.68M5.38M5.19M2.59M0.04M0.04M0.02M0.01M0.00M0.01M0.01M0.16M2.96M4.71M2.57M
Invested CapitalInvested Cap. 0.01M-0.03M0.05M-0.02M0.02M0.03M0.06M0.01M-0.03M-0.03M-0.14M4.96M3.04M0.81M
Asset Utilization RatioAsset Util. 0.032.132.122.373.2110.522.010.010.000.000.000.00
Leverage & Solvency
Interest Coverage RatioInterest Cover -524.87-119.050.00M-71.89-8.90-1.07-19.28-1.46-16.56-6.810.00M-0.00M-383.98
Debt Ratio 2.093.471.242.995.7014.2226.0999.130.00M26.080.200.010.140.56
Times Interest Earned -524.87-119.050.00M-71.89-8.90-1.07-19.28-1.46-16.56-6.810.00M-0.00M-383.98
Valuation
Price to EarningsP/E -112.06-36.20-23.15-17.77-20.82-17.53-64.46-136.42-111.94-149.25-20.79-275.21-4.17-158.35-47.68-38.60
Price to SalesP/S 0.00M0.00M221.89639.58964.450.00M431.630.36M0.14M0.07M0.23M0.06M0.58M1.05M
Price to BookP/B 17.313.773.412.25-124.93-29.20-23.14-20.82-21.74-10.56-10.92-260.30-160.0633.88114.480.00M
Enterprise Value 98.37M20.07M17.44M11.12M12.19M8.23M8.71M8.33M10.06M5.45M5.69M25.21M31.48M163.72M285.28M184.22M
EV to EBIT -111.37-35.48-22.91-17.46-20.79-17.67-71.53-263.70-117.69-251.54-21.97-315.56-4.12-156.37-47.05-38.34
EV to EBITDA -111.37-35.48-22.91-17.46-20.79-17.67-71.53-263.70-117.69-251.54-21.97-315.56-4.12-156.37-47.05-38.34
Market Capitalization 98.97M20.48M17.62M11.32M12.20M8.28M8.74M8.35M10.07M5.45M5.71M25.21M31.79M165.83M286.95M184.47M
Price to FCFP/FCF -486.99-78.87-70.42-47.37-53.01-42.44-84.73-273.96-826.05-0.00M-182.23-207.80-119.78-226.86-228.49-370.29
EV to FCF -484.00-77.31-69.70-46.52-52.94-42.18-84.51-273.40-825.66-0.00M-181.62-207.76-118.63-223.97-227.16-369.79
EV to CFO -484.00-77.31-69.70-46.52-52.94-42.18-84.51-273.40-825.66-0.00M-181.62-207.76-118.63-223.97-227.16-369.79
Return Ratios
Return on Sales [ROS]ROS -11,005.95%-12,793.70%-1,248.45%-3,072.27%-5,424.75%-1,576.34%-163.35%-305,321.43%-55,576.92%-297,891.95%-289,745.45%-5,612,301.47%-35,110.56%-1,232,319.72%-2,745,833.71%
Return on Capital Employed [ROCE]ROCE -79.84%-8.97%-12.86%-56.18%-103.51%826.59%495.24%304.92%154.24%50.69%2,293.43%-403.47%-433.93%-1,517.79%
Return on Assets [ROA]ROA -77.67%-8.91%-12.73%-54.88%-98.54%-6,189.40%-4,498.29%-5,429.67%-6,818.70%-12,528.55%-4,760.22%-4,063.78%-5,176.05%-305.01%-313.61%-757.52%