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Snail, Inc.

SNAL

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Financial Statements

Values in Millions ($)
2026-06-30
2026-03-31
2025-12-31
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
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Assets
Cash And Cash Equivalents At Carrying Value
1314912897111516155
Escrow Deposit
-----------1
Assets Current
Assets Current
322931353931313742425736
Restricted Cash And Cash Equivalents At Carrying V…
100---------
Prepaid Expense And Other Assets Current
2121112112111
Prepaid Taxes
11546771010910-
Restricted Cash And Cash Equivalents Noncurrent
222111111111
Property Plant And Equipment Net
444444445555
Other Intangible Assets Net
---442-000--
Deferred Income Tax Assets Net
---0013111010111011
Other Assets Noncurrent
111122210000
Operating Lease Right Of Use Asset
555011122223
Assets
575759515864626775789161
Liabilities And Stockhold…
Notes Payable Current
----------24
Liabilities Current
Convertible Debt Current
124223---111
Liabilities Current
584850665537364453607153
Contract With Customer Liability Current
291515301744132122196
Operating Lease Liability Current
000011122221
Accounts Payable And Accrued Liabilities Noncurren…
110--0000000
Long Term Debt Noncurrent
444---------
Contract With Customer Liability Noncurrent
517176162422201917156
Operating Lease Liability Noncurrent
444000001112
Liabilities
747781727161586473788861
Stockholders Equity Inclu…
Additional Paid In Capital
332727272727262525252626
Accumulated Other Comprehensive Income Loss Net Of…
-0-0-0-0-0-0-0-0-0-0-0-0
Retained Earnings Accumulated Deficit
-40-37-39-38-31-14-12-13-13-16-14-16
Treasury Stock Value
----4-4-4--4-4-4-4-4
Treasury Stock Common Value
-4-4-4----4----4-
Stockholders Equity
-11-20-22-16-1341032030
Minority Interest
-6-6-6-6-6-6-6-6-6-6-5-5
Liabilities And Stockholders Equity
575759515864626775789161
Allowance For Doubtful Accounts Receivable Current
111111111110
Treasury Stock Common Shares
-11111111111

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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
202650.80%22.91%88.05%---------
2025-15.25%33.05%-7.63%-10.57%4.67%3.66%-8.25%-15.73%-29.90%-36.38%-23.08%21.31%
2024-7.78%0.00%-12.89%11.37%39.73%102.74%0.71%33.57%52.86%-37.65%-38.27%-26.54%
2023----31.10%-16.77%-20.12%-6.25%-5.63%-34.22%1.90%-21.81%-19.33%

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Performance and Valuation Metrics

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Metrics
2026-06-30
2026-03-31
2025-12-31
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
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Liquidity Ratios
Current Ratio
0.55
0.60
0.62
0.53
0.70
0.84
0.86
0.84
0.78
0.71
0.79
0.67
Quick Ratio
0.52
0.57
0.58
0.51
0.68
0.80
0.81
0.81
0.76
0.67
0.79
0.45
Working Capital
-25.98M
-19.24M
-18.75M
-30.95M
-16.35M
-5.74M
-4.93M
-7.11M
-11.67M
-17.43M
-14.66M
-17.73M
Leverage & Debt
Debt to Equity
-4.36
-3.88
-3.71
-3.42
-5.30
16.90
13.92
23.78
30.49
583.32
31.44
422.55
Interest Coverage TTM
-15.58
-14.16
-26.15
-23.92
-5.73
4.89
5.38
3.03
-0.81
-5.50
-6.72
-10.44
Debt Ratio
1.30
1.35
1.37
1.41
1.23
0.94
0.93
0.96
0.97
1.00
0.97
1.00
Efficiency & Turnover
Asset Turnover TTM
1.49
1.46
1.34
1.40
1.37
1.27
1.10
1.35
1.08
0.85
0.74
1.36
Per Share Metrics
Diluted EPS TTM
-
-0.41
-0.73
-0.71
-0.51
0.18
0.23
1.25
0.68
-0.10
-0.25
-1.13
Free Cash Flow Per Share TTM
-
0.90
-0.30
-0.19
-1.55
-1.06
-0.19
1.66
2.04
1.75
0.06
-1.71
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
Margin Metrics
Gross Profit Margin TTM
33.73%
31.94%
27.62%
29.35%
36.09%
37.59%
35.79%
33.18%
26.77%
19.61%
20.68%
22.82%
Operating Profit Margin TTM
-13.93%
-12.58%
-21.25%
-15.49%
-2.74%
2.21%
4.60%
5.24%
-1.97%
-14.59%
-16.90%
-15.19%
Net Profit Margin TTM
-3.64%
-4.37%
-7.78%
-7.61%
-4.80%
1.84%
2.17%
11.58%
7.60%
-1.25%
-3.22%
-9.81%
Growth Metrics
Net Revenue Growth (1Y)
-5.65%
-2.27%
-3.84%
-5.17%
24.25%
46.95%
38.69%
-4.76%
-25.07%
-
-
-
Net Income Growth (1Y)
-28.33%
-332.21%
-445.11%
-162.34%
-178.45%
-316.49%
-193.43%
-212.38%
-191.91%
-
-
-
EPS Growth (1Y)
-
-316.94%
-419.48%
-156.67%
-174.07%
-304.05%
-191.87%
-210.65%
-190.62%
-
-
-
Valuation Metrics
P/E TTM
-
-5.97
-6.11
-7.68
-13.31
22.27
40.84
2.88
6.20
-51.23
-24.41
-5.04
P/B TTM
-
-1.17
-1.77
-2.28
-4.31
10.29
17.95
10.75
14.41
293.96
17.09
310.49
P/S TTM
-
0.26
0.48
0.58
0.64
0.41
0.89
0.33
0.47
0.64
0.79
0.49
Market Cap
-
23.09M
38.63M
48.11M
58.14M
37.06M
74.82M
28.97M
34.50M
39.39M
47.86M
45.04M
Enterprise Value
-
13.25M
36.26M
36.49M
51.72M
29.62M
66.58M
17.28M
17.89M
22.90M
34.68M
43.85M
Calculated Values
Free Cash Flow TTM
-1.52M
8.10M
-2.59M
-1.64M
-13.15M
-8.99M
-1.57M
13.29M
16.32M
13.95M
465.87K
-13.49M
Net Debt
-11.38M
-9.84M
-2.37M
-11.62M
-6.43M
-7.44M
-8.24M
-11.69M
-16.61M
-16.48M
-13.18M
-1.19M
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
PEG Ratio
Dividend Yield TTM
Free Cash Flow Yield TTM
EV EBITDA TTM
EV EBIT TTM
EV Revenue TTM
EV FCF TTM
Stock Compensation TTM
Adjusted Net Income TTM
Billings TTM
Total Debt
Invested Capital

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Institutional Ownership

No data available for chart
2026-03-31
5.96%
Inst. Shares: 538,918
Shares Outstanding: 9,036,135
2025-12-31
7.14%
Inst. Shares: 620,565
Shares Outstanding: 8,690,934
2025-09-30
4.66%
Inst. Shares: 411,091
Shares Outstanding: 8,827,465
2025-06-30
2.61%
Inst. Shares: 221,195
Shares Outstanding: 8,487,796
2025-03-31
3.22%
Inst. Shares: 271,551
Shares Outstanding: 8,442,025

Snail, Inc. (SNAL) — SEC Financial Statements & Analysis

Snail, Inc. (SNAL) is a services-prepackaged software company, incorporated in DE. Snail, Inc. trades on Nasdaq as: SNAL. Based on its latest SEC filing (Form 10-Q, period ending 2026-06-30), Snail, Inc. reported a -5.65% year-over-year revenue growth, a Gross Profit Margin of 33.73% (TTM), a Debt-to-Equity ratio of -4.36x, a Price-to-Sales (P/S) ratio of 0.26x (TTM), a Price-to-Book (P/B) ratio of -1.17x (TTM), at a market cap of $23.09M. Figures below are sourced from SEC EDGAR, as-filed.

Net Revenue TTM Growth 1Y
-5.65%
Gross Profit Margin TTM
33.73%
Debt To Equity
-4.36x
P/S TTM
0.26x
P/B TTM
-1.17x
Market Cap
$23.09M

Data as of 2026-06-30 · Source: SEC EDGAR

Frequently Asked Questions

What industry is Snail, Inc. in?

Snail, Inc. (SNAL) operates in the Services-Prepackaged Software industry.

What is SNAL's market cap?

Snail, Inc. (SNAL) has a market capitalization of $23.09M as of 2026-03-31.

What exchange does SNAL trade on?

Snail, Inc. (SNAL) trades on the Nasdaq.

Where is Snail, Inc. incorporated?

Snail, Inc. is incorporated in DE.

Wall Street's data.
Main Street's price.