Income statement
USD
| Metric | 2020 | 2019 |
|---|---|---|
| Revenue | 3M | 1M |
| Gross Profit | 3M | 1M |
| Operating Income | 2M | 652K |
| EBITDA | 3M | 1M |
| Net Income | 2M | 136K |
| EPS (Diluted) | โ | โ |
Financial Services
Live Price
Offline$0.00001
+0.00% today
1Y Change
+0.00%
Window
Jun 23, 2025 โ Jun 16, 2026
Coverage: 247 bars ยท Jun 23, 2025 โ Jun 16, 2026
Research Briefing
A compact read on the setup, peer context, quarterly changes, and recent earnings reaction.
Research Snapshot
Reservoir Capital Corp. (RSERF) is a Financial Services stock with listed on OTC. The stock last traded around $0.00 and up 0.0% across the available one-year price window (Jun 23, 2025 โ Jun 16, 2026). Baseline metrics include revenue growth of +91.2%, EPS growth of +809.1%, a dividend yield of 0.0%. What stands out right now is revenue +91.2%, EPS +809.1%, free cash flow +29.4% with operating margin 81.7% and ROIC 5.4%. Valuation is more restrained than many high-expectation growth names at P/E 0.0 and price/sales 0.0. Stock Foundry combines RSERF price history, valuation, growth, dividend context, earnings, analyst forecasts, news, related Financial Services peers on this page.
Benchmark Comparison
Compare this ticker against a broad index, growth benchmark, or sector ETF using a shared 1Y normalization window.
RSERF
โ
Normalized return
SPY
โ
S&P 500
Excess Return
โ
Relative to SPY
RSERF Max Drawdown
0.00%
Trailing 1Y
SPY Max Drawdown
โ
Trailing 1Y
Uses the longest available daily history for RSERF and SPY.
Financial profile
Profitability, balance sheet stamina, and cash efficiency drawn from the latest filings.
FY Revenue
$1.4M
-47.7% YoY
FY Net Income
$135.6K
-93.1% YoY
Free Cash Flow
$860.2K
-22.7% YoY
Revenue Growth
+91.2%
EPS Growth
+809.1%
Gross Margin
100.8%
Net Margin
75.9%
Income statement
USD
| Metric | 2020 | 2019 |
|---|---|---|
| Revenue | 3M | 1M |
| Gross Profit | 3M | 1M |
| Operating Income | 2M | 652K |
| EBITDA | 3M | 1M |
| Net Income | 2M | 136K |
| EPS (Diluted) | โ | โ |
Balance sheet
USD
| Metric | 2020 | 2019 |
|---|---|---|
| Cash & Equivalents | 64K | 534K |
| Total Assets | 31M | 25M |
| Total Liabilities | 2M | 2M |
| Shareholder Equity | 22M | 22M |
| Total Debt | 207K | 409K |
| Net Debt | 143K | -125K |
Cash flow positioning
Latest Full Year
Operating Cash Flow
860K
-22.7% YoY
Capital Expenditures
0
Free Cash Flow
860K
-22.7% YoY
Key ratios
Gross Margin
100.8%
Operating Margin
81.7%
Net Margin
75.9%
ROE
8.8%
Debt / Equity
0.01x
Next Step
Use the numbers to decide whether this is a growth candidate, a quality compounder, or just an interesting outlier.