Company / Financials
Hartford Creative Group, Inc. Financials
FY2017-FY2025 · Annual data · Source: SEC filings
At a glance
Latest annual filing availableRevenue
$2.0M
FY2025 · +45.4% YoY
Net Income
$1.1M
FY2025 · +0.6% YoY
Profit Margin
54.0%
FY2025 · net income / revenue
ROE
367.4%
FY2025 · return on equity
Total Assets
$6.9M
FY2025
Total Debt
-
FY2025
Equity
$299.2K
FY2025
ROA
15.9%
FY2025 · return on assets
Statement paths
Financial highlights
Key Data Points
- Altman Z-Score 0.26 (distress zone, below 1.23 threshold)
- Accrual-heavy earnings: Net income significantly exceeds operating cash flow
Data sourced from SEC EDGAR filings. Not investment advice.
Metric history
Revenue HistoryTotal revenue from operations$2.0M+45.4% YoYNet Income HistoryProfit after all expenses and taxes$1.1M+0.6% YoYGross Profit HistoryRevenue minus cost of goods sold-Cost of Revenue HistoryDirect costs of producing goods and services sold-Operating Income HistoryProfit from core business operations before interest and taxes$1.2M+11.7% YoYSG&A Expense HistorySelling, general, and administrative expenses$697.4K+181.3% YoYR&D Expense HistoryResearch and development spending-Interest Expense HistoryCost of borrowing and debt obligations-Income Tax HistoryTotal income tax expense$172.0K+1520.1% YoYEPS (Basic) HistoryBasic earnings per share$0.04