Control & Clarity
- From Receipts to Results.
- The Truth is in the Numbers.
- Know Your Numbers. Grow Your Future.
- Master Your Records, Own Your Wealth.
- Organized Finances. Simplified Success.
Market Valuation & Premium
$47,251.14
Enterprise Value
$36,727.08
Market Cap
$10,524.06
NAV (Net Asset Value)
$35.08
NAV Per Basic Share
Credit Overview
$47,251.14
Total Assets
$31, 315.42
Total Capital Stack
$22,936.00
Total Preferred Outstanding
$8,379.42
Total Debt Outstanding
66.27%
Amplification Ratio
17.75%
Leverage Ratio
Balance Sheet
$47,251.14
Total Assets
$36,727.08
Total Liabilities
$10,524.06
Total Equity
$6,954.06
Cash Reserve
Cash Flow Statement
$1,785.00
Cash flow from Investing activities
$717.00
Cash flow from financing activities
$1,068.00
Cash flow from operating activities
$10,524.06
Operating Cash Flow
$3,570.00
Capital Expenditures
$6,954.06
Free cash Flow
$1000.88
Unrealized Profit / Loss
9.51%
Profit Margin
$23.18
Free cash flow per share
Income Statement
Year 2026
Total Long Position
Total Short Position
Total all positions
Total Cash Position
Q1 (JAN1-MAR31)
$3,009.00
$2,315.50
$693.50
$3,317.13
Q2 (APR1-JUN30)
$1,785.00
$717.00
$1,068.00
$6,954.06
Millions of possible futures.
One possible outcome
- Get a virtual presentation of the club’s account growth, to see how the Trade Setups perform through various market cycles.
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Disclaimer: These figures are indicative only and do not account for other balance sheet items such as cash, liabilities, or other corporate assets. All calculations are clearly labeled and provided for transparency and informational purposes only. They do not represent audited financial statements or official valuations.