AMAOW

American Acquisition Opportunity Inc. AMAOW

Trading inactive

Finances

2024
Revenue 807.089 K
Net income -114.261 K
Income before tax -114.261 K
Income before tax ratio -0.14
EBITDA -312.358 K
Net income ratio -0.14
Ratio EBITDA -0.39
Gross profit ratio 0.97
Weighted average shs out dil 14.959 M
Weighted average shs out 14.959 M
EPS diluted -0.01
Earnings per share -0.01
Gross profit 784.390 K
Income tax expense 0.000
Cost of revenue 22.699 K
General and administrative expenses 1.038 M
Selling and marketing expenses 0.000
Other expenses 0.000
Operating expenses 1.038 M
Cost and expenses 1.061 M
Research and development expenses 0.000
Selling general and administrative expenses 1.038 M
Interest income 152.123 K
Interest expense 135.381 K
Depreciation and amortization 0.000
Operating income -312.358 K
Operating income ratio -0.39
Total other income expenses net 0.000
2024
2024
Net debt 495.600 K
Total investments 10.236 M
Total debt 609.738 K
Accumulated other comprehensive income loss 0.000
Retained earnings 1.232 M
Common stock 1.496 K
Total equity 13.626 M
Other non current liabilities 98.756 K
Long term debt 326.248 K
Total non current liabilities 425.004 K
Other current liabilities 325.203 K
Deferred revenue 0.000
Short term debt 283.490 K
Total current liabilities 989.936 K
Total liabilities 1.415 M
Other non current assets 1.723 M
Long term investments 10.236 M
Intangible assets 1.973 M
GoodWill 0.000
Goodwill and intangible assets 1.973 M
Property plant equipment net 355.724 K
Total non current assets 14.287 M
Other current assets 198.108 K
Short term investments 0.000
cash and cash equivalents 114.138 K
Cash and short term investments 114.138 K
Total current assets 753.196 K
Inventory 0.000
Net receivables 440.950 K
Tax assets 0.000
Other assets 0.000
Account payables 381.243 K
Tax payables 0.000
Deferred revenue non current 0.000
Minority interest 0.000
Capital lease obligations 0.000
Preferred stock 1.608 M
Other total stockholders equity 12.393 M
Deferred tax liabilities non current 0.000
Other liabilities 0.000
Total assets 15.041 M
2024
2024
Deferred income tax 0.000
Stock based compensation 6.906 K
Change in working capital 0.000
Accounts receivables -110.558 K
Inventory 0.000
Accounts payables 9.255 K
Other working capital 0.000
Other non cash items 691.912 K
Net cash provided by operating activities 646.290 K
Investments in property plant and equipment 0.000
Acquisitions net 0.000
Purchases of investments 0.000
Sales maturities of investments 0.000
Other investing activites -18.646 K
Net cash used for investing activites -18.646 K
Debt repayment 0.000
Common stock issued 0.000
Common stock repurchased 0.000
Dividends paid 0.000
Other financing activites -690.442 K
Net cash used provided by financing activities -690.442 K
Effect of forex changes on cash 0.000
Net change in cash -62.798 K
Cash at beginning of period 372.286 K
Cash at end of period 309.488 K
Operating cash flow 646.290 K
Capital expenditure 0.000
Free CashFlow 646.290 K
2024
2025-09-30 2025-06-30 2025-03-31
Revenue 1.303 M -1.84 % 1.327 M 43.76 % 923.223 K
Net income -209.095 K -322.18 % -49.528 K 15.70 % -58.755 K
Income before tax -209.095 K -322.18 % -49.528 K 15.70 % -58.755 K
Income before tax ratio -0.16 -330.07 % -0.04 41.36 % -0.06
EBITDA 14.220 K 129.53 % -48.147 K 56.71 % -111.210 K
Net income ratio -0.16 -330.07 % -0.04 41.36 % -0.06
Ratio EBITDA 0.01 130.09 % -0.04 69.88 % -0.12
Gross profit ratio 0.11 -33.89 % 0.17 -38.16 % 0.27
Weighted average shs out dil 14.931 M 0.09 % 14.918 M -0.14 % 14.938 M
Weighted average shs out 14.931 M 0.09 % 14.918 M -0.14 % 14.938 M
EPS diluted -0.01 -203.03 % 0.00 15.38 % 0.00
Earnings per share -0.01 -203.03 % 0.00 15.38 % 0.00
Gross profit 146.136 K -35.10 % 225.187 K -11.11 % 253.323 K
Income tax expense 0.000 0.000 0.000
Cost of revenue 1.157 M 4.96 % 1.102 M 64.50 % 669.900 K
General and administrative expenses 229.899 K -11.14 % 258.727 K -26.06 % 349.926 K
Selling and marketing expenses 0.000 0.000 0.000
Other expenses 14.607 K 0.000 0.000
Operating expenses 244.506 K -5.50 % 258.727 K -26.06 % 349.926 K
Cost and expenses 1.401 M 2.97 % 1.361 M 33.43 % 1.020 M
Research and development expenses 0.000 0.000 0.000
Selling general and administrative expenses 229.899 K -11.14 % 258.727 K -26.06 % 349.926 K
Interest income 39.283 K -0.44 % 39.457 K 4.50 % 37.759 K
Interest expense 4.901 K -32.05 % 7.213 K 3.61 % 6.962 K
Depreciation and amortization 14.220 K 0.000 0.000
Operating income -98.370 K -104.31 % -48.147 K 56.71 % -111.210 K
Operating income ratio -0.08 -108.13 % -0.04 69.88 % -0.12
Total other income expenses net -110.725 K -7 917.74 % -1.381 K -102.63 % 52.455 K
2025-09-30 2025-06-30 2025-03-31
2025-09-30 2025-06-30 2025-03-31 2024-12-31
Net debt 180.912 K -61.16 % 465.831 K -4.60 % 488.286 K -1.48 % 495.600 K
Total investments 0.000 -100.00 % 10.241 M 0.03 % 10.238 M 0.02 % 10.236 M
Total debt 354.086 K -42.20 % 612.559 K -1.33 % 620.825 K 1.82 % 609.738 K
Accumulated other comprehensive income loss 0.000 0.000 0.000 0.000
Retained earnings 914.210 K -18.61 % 1.123 M -4.22 % 1.173 M -4.77 % 1.232 M
Common stock 1.514 K 0.93 % 1.500 K 0.13 % 1.498 K 0.13 % 1.496 K
Total equity 14.064 M 0.93 % 13.934 M 0.000 -100.00 % 13.626 M
Other non current liabilities 265.276 K 129.55 % 115.566 K 45.70 % 79.320 K -19.68 % 98.756 K
Long term debt 317.999 K -2.86 % 327.360 K -2.71 % 336.491 K 3.14 % 326.248 K
Total non current liabilities 583.275 K 31.69 % 442.926 K 6.52 % 415.811 K -2.16 % 425.004 K
Other current liabilities 293.088 K -7.92 % 318.296 K 23.71 % 257.300 K -20.88 % 325.203 K
Deferred revenue 0.000 0.000 0.000 0.000
Short term debt 36.087 K -87.35 % 285.199 K 0.30 % 284.334 K 0.30 % 283.490 K
Total current liabilities 3.371 M 35.73 % 2.483 M 87.27 % 1.326 M 33.96 % 989.936 K
Total liabilities 3.954 M 35.11 % 2.926 M 67.99 % 1.742 M 23.11 % 1.415 M
Other non current assets 1.891 M -0.04 % 1.892 M 9.59 % 1.726 M 0.18 % 1.723 M
Long term investments 10.245 M 0.04 % 10.241 M 0.03 % 10.238 M 0.02 % 10.236 M
Intangible assets 1.941 M -0.19 % 1.944 M -0.73 % 1.959 M -0.72 % 1.973 M
GoodWill 0.000 0.000 0.000 0.000
Goodwill and intangible assets 1.941 M -0.19 % 1.944 M -0.73 % 1.959 M -0.72 % 1.973 M
Property plant equipment net 330.894 K -2.50 % 339.377 K -2.38 % 347.652 K -2.27 % 355.724 K
Total non current assets 14.408 M -0.06 % 14.416 M 1.02 % 14.271 M -0.12 % 14.287 M
Other current assets 36.349 K 91.71 % 18.960 K -91.05 % 211.872 K 6.95 % 198.108 K
Short term investments 0.000 0.000 0.000 0.000
cash and cash equivalents 173.174 K 18.02 % 146.728 K 10.71 % 132.539 K 16.12 % 114.138 K
Cash and short term investments 173.174 K 18.02 % 146.728 K 10.71 % 132.539 K 16.12 % 114.138 K
Total current assets 3.610 M 47.70 % 2.444 M 68.23 % 1.453 M 92.88 % 753.196 K
Inventory 0.000 0.000 0.000 0.000
Net receivables 3.400 M 49.25 % 2.278 M 105.55 % 1.108 M 151.35 % 440.950 K
Tax assets 0.000 0.000 0.000 0.000
Other assets 0.000 0.000 0.000 0.000
Account payables 3.041 M 61.79 % 1.880 M 139.64 % 784.451 K 105.76 % 381.243 K
Tax payables 0.000 0.000 0.000 0.000
Deferred revenue non current 0.000 0.000 0.000 0.000
Minority interest 0.000 0.000 0.000 0.000
Capital lease obligations 0.000 0.000 0.000 0.000
Preferred stock 2.170 M 2.97 % 2.108 M 3.06 % 2.045 M 27.21 % 1.608 M
Other total stockholders equity 13.148 M 2.65 % 12.809 M 0.02 % 12.807 M 3.34 % 12.393 M
Deferred tax liabilities non current 0.000 0.000 0.000 0.000
Other liabilities 0.000 0.000 0.000 0.000
Total assets 18.018 M 6.87 % 16.860 M 7.23 % 15.723 M 4.54 % 15.041 M
2025-09-30 2025-06-30 2025-03-31 2024-12-31
2025-09-30 2025-06-30 2025-03-31
Deferred income tax 0.000 0.000 0.000
Stock based compensation 6.906 K -0.01 % 6.907 K 0.01 % 6.906 K
Change in working capital 0.000 0.000 0.000
Accounts receivables -1.098 M 3.74 % -1.140 M -81.05 % -629.912 K
Inventory 0.000 0.000 0.000
Accounts payables 0.000 0.000 100.00 % -381.243 K
Other working capital 0.000 0.000 0.000
Other non cash items 209.902 K -24.66 % 278.603 K 190.27 % -308.641 K
Net cash provided by operating activities 21.933 K -91.23 % 250.204 K 176.49 % -327.120 K
Investments in property plant and equipment 0.000 0.000 0.000
Acquisitions net 0.000 0.000 0.000
Purchases of investments 0.000 0.000 0.000
Sales maturities of investments 0.000 0.000 0.000
Other investing activites -15.104 K 91.04 % -168.605 K -2 846.61 % -5.722 K
Net cash used for investing activites -15.104 K 91.04 % -168.605 K -2 846.61 % -5.722 K
Debt repayment 0.000 0.000 0.000
Common stock issued 50.000 K 0.000 0.000
Common stock repurchased -45.000 K -50.00 % -30.000 K 0.00 % -30.000 K
Dividends paid -482.000 98.71 % -37.410 K 0.000
Other financing activites 20.099 K 167.00 % -30.000 K -108.54 % 351.243 K
Net cash used provided by financing activities 19.617 K 129.10 % -67.410 K -119.19 % 351.243 K
Effect of forex changes on cash 0.000 0.000 0.000
Net change in cash 26.446 K 86.38 % 14.189 K -22.89 % 18.401 K
Cash at beginning of period 342.078 K 4.33 % 327.889 K 5.95 % 309.488 K
Cash at end of period 368.524 K 7.73 % 342.078 K 4.33 % 327.889 K
Operating cash flow 21.933 K -91.23 % 250.204 K 176.49 % -327.120 K
Capital expenditure 0.000 0.000 0.000
Free CashFlow 21.933 K -91.23 % 250.204 K 176.49 % -327.120 K
2025 2025 2025