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HIGH WIRE NETWORKS, INC.

HWNI

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Financial Statements

Values in Millions ($)
2025-09-30
2025-06-30
2025-03-31
2024-12-31
2024-09-30
2024-06-30
2024-03-31
2023-12-31
2023-09-30
2023-06-30
2023-03-31
2022-12-31
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Subscriber-only column
Derivative Liabilities Current
---------225
Temporary Equity Carrying Amount Including Portion…
---------131417
Related Party
00000-0000--0
Nonrelated Party
---000-0----
Assets Current
Cash
---------111
Assets
Cash And Cash Equivalents At Carrying Value
-00004000--1
Accounts Receivable Net Current
-11111414374
Prepaid Expense And Other Assets Current
000000000011
Assets Of Disposal Group Including Discontinued Op…
-------2---5
Assets Current
0111265355911
Property Plant And Equipment Net
-11111111112
Goodwill
-11122335558
Intangible Assets Net Excluding Goodwill
-3333334----
Long Term Investments
1-----------
Operating Lease Right Of Use Asset
000000000000
Disposal Group Including Discontinued Operation As…
-----------8
Unlabeled 1
Assets
1566066119112033
Liabilities And Stockhold…
Liabilities Current
Loans Payable Current
------330002
Notes Payable Current
-------00002
Finance Lease Liability Current
-------11024
Business Combination Contingent Consideration Liab…
--------0000
Accounts Payable And Accrued Liabilities Current
465446755467
Notes Payable Related Parties Classified Current
-----------0
Contract With Customer Liability Current
-00000001112
Convertible Debt Current
---1-1204422
Other Loans Payable Current
112---------
Warrants And Rights Outstanding
000-001-----
Operating Lease Liability Current
000000000000
Liabilities Of Disposal Group Including Discontinu…
111111-1---5
Liabilities Current
71197710161311101122
Derivative Instruments And Hedges Liabilities Nonc…
-----------0
Convertible Debt Noncurrent
-------11--2
Derivative Liabilities Noncurrent
-----------3
Liabilities Of Disposal Group Including Discontinu…
-----------0
Liabilities Noncurrent
Long Term Loans Payable
-----------0
Convertible Long Term Notes Payable
--------0---
Other Loans Payable Long Term
-000-0------
Operating Lease Liability Noncurrent
-00000000---
Liabilities Noncurrent
----01011--5
Liabilities
71198710161412101127
Common Stock Value
000000000000
Additional Paid In Capital
333333323232313131302620
Retained Earnings Unappropriated
----------36-34-32
Retained Earnings Accumulated Deficit
-52-51-49-47-45-43-47-47-40--32-32
Stockholders Equity
-6-5-4-202-3-3469-12
Liabilities And Stockholders Equity
1566812131116162033
Series B Preferred Stock
--0000000000
Series D Preferred Stock
000000000-000
Series E Preferred Stock
000000000-000
Series F Preferred Stock
0-00---------
Series G Preferred Stock
00----------
Convertible Debt
0-000-00-1----
Allowance For Doubtful Accounts Receivable Current
-00000000000
Unbilled Receivables Current
-0000000---0
Debt Instrument Unamortized Discount Premium Net
-----------0
Series A Preferred Stock
-------00000
Accumulated Depreciation Depletion And Amortizatio…
-11111100000
Debt Instrument Unamortized Discount Current
--------0000
Short Term Bank Loans And Notes Payable
--------0---
Finite Lived Intangible Assets Accumulated Amortiz…
-2211122---2
Convertible Subordinated Debt Current
-----------0
Debt Instrument Unamortized Discount Noncurrent
------0-----
Common Stock Par Or Stated Value Per Share
000000000000
Debt Instrument Unamortized Discount
-------01--0
Common Stock Shares Authorized
1,0001,0001,0001,0001,0001,0001,0001,0001,0001,0001,0001,000
Common Stock Shares Issued
11112422412411238238228164
Shares Outstanding
11112422412411238238228164

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Earnings Market Reaction

Fiscal Year
Q1 1 Month
Q1 2 Month
Q1 3 Month
Q2 1 Month
Q2 2 Month
Q2 3 Month
Q3 1 Month
Q3 2 Month
Q3 3 Month
Q4 1 Month
Q4 2 Month
Q4 3 Month
2025-7.49%-81.50%-87.91%-6.41%-46.15%-53.85%-42.47%-50.68%-42.47%---
202416.37%12.50%3.75%4.76%-0.60%-11.90%56.13%47.96%16.51%-14.29%-34.29%-51.60%
2023-1.65%-9.05%4.45%-17.48%-28.48%-29.85%17.87%20.52%-17.52%-8.04%-21.45%-8.04%
2022---------10.42%13.88%5.32%

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Performance and Valuation Metrics

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Metrics
2025-09-30
2025-06-30
2025-03-31
2024-12-31
2024-09-30
2024-06-30
2024-03-31
2023-12-31
2023-09-30
2023-06-30
2023-03-31
2022-12-31
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Liquidity Ratios
Current Ratio
0.00
0.13
0.15
0.17
0.27
0.60
0.32
0.22
0.42
0.51
0.77
0.49
Quick Ratio
0.00
0.11
0.12
0.14
0.21
0.58
0.30
0.21
0.39
0.47
0.72
0.45
Working Capital
-7.39M
-9.36M
-7.91M
-6.22M
-5.20M
-3.83M
-10.70M
-9.92M
-6.61M
-4.73M
-2.59M
-10.89M
Leverage & Debt
Debt to Equity
-1.20
-2.03
-2.53
-4.13
21.16
5.70
-5.36
-4.94
3.24
1.50
1.25
-2.29
Interest Coverage TTM
-6.32
-8.88
-7.72
-7.35
-4.01
-3.39
-3.72
-4.18
-5.66
-7.96
-9.22
-9.75
Debt Ratio
6.03
1.97
1.65
1.32
39.29
1.75
2.75
1.25
1.34
0.89
0.55
0.82
Efficiency & Turnover
Asset Turnover TTM
9.52
1.57
1.48
1.01
-0.19
-0.12
-0.09
0.32
0.82
0.94
0.98
0.68
Days Sales Outstanding TTM
-
51.20
117.34
32.69
-1,137.59
-898.57
-1,755.67
121.45
106.15
80.15
85.51
81.05
Receivables Turnover TTM
-
7.13
3.11
11.17
-0.32
-0.41
-0.21
3.01
3.44
4.55
4.27
4.50
Per Share Metrics
Diluted EPS TTM
-6.91
-8.23
-2.59
-0.40
-3.57
-4.89
-14.10
-15.97
-0.15
-0.15
-0.12
-0.28
Free Cash Flow Per Share TTM
-1.61
-4.57
-5.91
-6.38
-5.96
-0.02
-4.54
-8.77
-0.04
-0.03
-0.04
-0.04
Dividend Per Share TTM
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
Margin Metrics
Gross Profit Margin TTM
-
25.06%
27.64%
30.13%
-262.27%
-237.55%
-160.36%
34.96%
15.57%
18.85%
22.08%
27.79%
Operating Profit Margin TTM
-94.84%
-76.45%
-98.34%
-102.09%
995.76%
1,152.06%
905.78%
-173.04%
-73.19%
-58.05%
-44.60%
-48.95%
Net Profit Margin TTM
-114.50%
-96.80%
-29.77%
-4.59%
390.10%
554.68%
1,132.58%
-209.75%
-161.04%
-131.58%
-80.11%
-71.11%
Growth Metrics
Net Revenue Growth (1Y)
-865.79%
-1,018.01%
-808.87%
21.32%
-103.99%
-103.62%
-103.79%
-74.20%
-26.22%
-18.51%
5.19%
-1.62%
Net Income Growth (1Y)
124.77%
60.21%
-81.37%
-97.34%
-90.34%
-84.72%
-46.46%
-23.90%
-747.09%
3,640.73%
206.95%
42.69%
EPS Growth (1Y)
93.45%
34,330.39%
-81.66%
-97.50%
2,284.47%
-85.25%
10,889.42%
5,666.47%
-262.79%
794.43%
-24.26%
-60.24%
Valuation Metrics
P/E TTM
-0.07
-0.31
-3.38
-23.21
-3.43
-598.52
-0.95
-1.06
-163.58
-166.70
-214.39
-130.86
P/B TTM
-0.08
-0.50
-2.31
-4.83
33.35
1,789.96
-4.33
-5.57
1,532.53
906.12
608.86
-212.54
P/S TTM
0.07
0.30
1.01
1.07
-13.38
-3,319.89
-10.75
2.22
263.42
219.35
171.75
93.06
Market Cap
503.85K
2.63M
8.55M
8.93M
11.80M
3.19B
12.88M
15.30M
5.83B
5.81B
5.43B
2.49B
Enterprise Value
503.85K
2.39M
8.52M
9.61M
11.60M
3.18B
16.98M
21.28M
5.83B
5.81B
5.43B
2.50B
Calculated Values
Free Cash Flow TTM
-1.80M
-5.12M
-5.77M
-6.14M
-5.74M
-5.47M
-4.37M
-7.95M
-10.42M
-7.21M
-7.49M
-2.52M
Net Debt
0.00
-241.11K
-34.70K
675.83K
-207.59K
-3.39M
4.10M
5.98M
5.67M
3.31M
3.26M
9.79M
Per-Share and Margin
EPS TTM
Adjusted EPS TTM
Cash Flow Per Share TTM
Pretax Margin TTM
Stock Comp to Revenue TTM
Turnover Ratios and Averages
Average Assets
Average Equity
Average Inventory
Average Receivables
Average Accounts Payables
Inventory Turnover TTM
Payables Turnover TTM
Days Inventory Outstanding TTM
Days Payables Outstanding TTM
Cash Conversion Cycle TTM
Working Capital to Revenue
Deferred Revenue to Revenue
Growth Rates
Total Assets Growth (1Y)
Total Assets Growth (3Y)
Total Assets Growth (5Y)
Dividends Paid Growth (1Y)
Dividends Paid Growth (3Y)
Dividends Paid Growth (5Y)
EPS Growth (3Y)
EPS Growth (5Y)
Net Income Growth (3Y)
Net Income Growth (5Y)
Net Profit Margin Growth (1Y)
Net Profit Margin Growth (3Y)
Net Profit Margin Growth (5Y)
Net Revenue Growth (3Y)
Net Revenue Growth (5Y)
Deferred Revenue Growth (1Y)
Retained Earnings Growth (1Y)
Credit, Liquidity, Returns, Payout
Cash Ratio
Net Working Capital
Debt to EBITDA TTM
Net Debt to EBITDA TTM
Net Debt to Equity
Altman A
Altman B
Altman C
Altman D
Altman E
Altman Z-Score
ROA TTM
ROE TTM
NOPAT TTM
ROIC TTM
Effective Tax Rate TTM
Payout Ratio TTM
Dilution Ratio
Retained Earnings to Equity
Treasury Stock to Equity
Treasury Stock Change (1Y)
Accrued to Current Liabilities
NCAV
NCAV Per Share TTM
Valuation Ratios
P/CF TTM
Dividend Yield TTM
Free Cash Flow Yield TTM
EV EBITDA TTM
EV EBIT TTM
Stock Compensation TTM
Adjusted Net Income TTM
Billings TTM
Total Debt
Invested Capital

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Insider Transactions

2024-09-11Purchase
Owner: Porter, Mark William
Title: Chief Executive Officer
Shares: 175,000
Price/Share: $0.04
Value: $7,000.00
Shares Owned: 425,000
Relationship: Director,Officer
Ownership: Direct

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No institutional ownership data available.

HIGH WIRE NETWORKS, INC. (HWNI) — SEC Financial Statements & Analysis

HIGH WIRE NETWORKS, INC. (HWNI) is a telephone communications (no radiotelephone) company, incorporated in NV. HIGH WIRE NETWORKS, INC. trades on OTC as: HWNI. Based on its latest SEC filing (Form 10-Q, period ending 2025-09-30), HIGH WIRE NETWORKS, INC. reported a -865.79% year-over-year revenue growth, a Gross Profit Margin of 25.06% (TTM), a Debt-to-Equity ratio of -1.20x, a Price-to-Sales (P/S) ratio of 0.07x (TTM), a Price-to-Book (P/B) ratio of -0.08x (TTM), at a market cap of $503.85K. Figures below are sourced from SEC EDGAR, as-filed.

Net Revenue TTM Growth 1Y
-865.79%
Gross Profit Margin TTM
25.06%
Debt To Equity
-1.20x
P/S TTM
0.07x
P/B TTM
-0.08x
Market Cap
$503.85K

Data as of 2025-09-30 · Source: SEC EDGAR

Frequently Asked Questions

What industry is HIGH WIRE NETWORKS, INC. in?

HIGH WIRE NETWORKS, INC. (HWNI) operates in the Telephone Communications (No Radiotelephone) industry.

What is HWNI's market cap?

HIGH WIRE NETWORKS, INC. (HWNI) has a market capitalization of $503.85K as of 2025-09-30.

What exchange does HWNI trade on?

HIGH WIRE NETWORKS, INC. (HWNI) trades on the OTC.

Where is HIGH WIRE NETWORKS, INC. incorporated?

HIGH WIRE NETWORKS, INC. is incorporated in NV.

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Main Street's price.