Knowstox

Fundamentals snapshot

All In FutureTech Alliance Inc.

AIFA · NCM · Technology · Software - Infrastructure

Current price

$3.96

52-week range

$1.51 - $6.00

Market cap

$25.42M

One-glance verdict

Not enough data

Fair value unavailable

Not enough cash-flow history to value this one with our method.

Balance sheet

Healthy

-115.87x Concerning

Net cash $15.39M. Interest coverage shows how many times profit covers the interest bill.

What this company does

All In FutureTech Alliance Inc.

All In FutureTech Alliance is an entertainment company that creates experiences for video game fans, from live professional tournaments to mobile games you can play on your phone. The company makes its money primarily from hosting events at its Las Vegas arena, managing other entertainment venues, and selling items within its games. This means its success depends on both drawing crowds to live events and keeping players engaged with its digital products.

Price history

How the share price has moved

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Earnings history

Last 8 quarters — what happened

Click any quarter to read the call summary and what the numbers say.

Free cash flow by quarter (oldest to newest)
FY2024 Q3 $-8.75M FY2024 Q4 $3.45M FY2025 Q1 $-2.22M FY2025 Q2 $-913.32K FY2025 Q3 $-669.52K FY2025 Q4 $-6.11M
Revenue $1.25M
Net income $-559.94K
Diluted EPS -0.09
Operating cash flow $-2.36M
Free cash flow —
Revenue $1.55M
Net income $-5.19M
Diluted EPS -0.83
Operating cash flow $-661.02K
Free cash flow —
Revenue —
Net income $-17.78M
Diluted EPS -0.46
Operating cash flow $-6.10M
Free cash flow $-6.11M
Revenue —
Net income $-5.36M
Diluted EPS -0.14
Operating cash flow $-616.22K
Free cash flow $-669.52K
Revenue $1.92M
Net income $-4.81M
Diluted EPS -0.12
Operating cash flow $-890.04K
Free cash flow $-913.32K
Revenue $2.28M
Net income $-4.84M
Diluted EPS -0.11
Operating cash flow $-2.18M
Free cash flow $-2.22M
Revenue —
Net income $-7.23M
Diluted EPS -0.18
Operating cash flow $3.48M
Free cash flow $3.45M
Revenue $2.16M
Net income $-4.03M
Diluted EPS -0.11
Operating cash flow $-8.71M
Free cash flow $-8.75M

Is it cheap or expensive?

Fair value — vs current price $3.96

We couldn't calculate a fair value right now.

lower confidence

We estimate the cash this business should generate over the next 10 years and beyond, then convert it to today's money for a fair value per share, in its trading currency. Cautious, middle and optimistic growth cases give a range. Not for banks/insurers.

Is it drowning in debt?

Healthy

Net cash $15.4M - more cash than debt. Interest coverage -115.9x.

Net debt $-15.39M
Interest coverage -115.87x

All In FutureTech Alliance Inc.'s profit covers its interest bill about 0.0 times over. which is weaker than most peers shown here and 3 peers sit below 1x, which is the danger zone where profit does not fully cover the interest bill.

Healthy
Worse cushion Baseline Better cushion
AIFA BASELINE All In FutureTech Alliance Inc.

Total debt $14.21M Interest coverage -115.87x This is the baseline the peer rows are being compared against.

Total debt $128.81B Interest coverage 50.88x This peer still has a real interest-payment cushion, while AIFA does not.

Total debt $169.14B Interest coverage 4.88x This peer still has a real interest-payment cushion, while AIFA does not.

Total debt $2.76B Interest coverage -172.95x Neither company has much profit cushion over interest right now.

Total debt $820.18M Interest coverage -10.47x Neither company has much profit cushion over interest right now.

Total debt $1.28B Interest coverage -4.01x Neither company has much profit cushion over interest right now.

What you should know

The case for and against AIFA

0 Rewards 2 Risks

Rewards

Risks

  • Operating margin compressed from -181.6% to -275.6% over 3 years.
  • Return on equity was -68.8% last year — the company lost money on shareholders' equity.

The numbers

All the key metrics, grouped by purpose

Tap any ? icon to learn what it means.

Valuation

How expensive the stock looks

P/E (TTM)
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Forward P/E
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P/B
0.86x
P/S
3.86x
EV/EBITDA
-0.47x
PEG ratio
—

Profitability

How much profit each dollar creates

Gross margin
49.7%
Operating margin
-275.6%
Net margin
0.0%
ROE
-68.8%
ROA
-19.6%

Health

Liquidity and balance-sheet strength

Debt / equity
0.46x
Current ratio
1.69x
Quick ratio
1.05x
Total debt
$14.21M
Total cash
$29.60M

Growth

How the business has been compounding

Revenue TTM
$7.00M
Revenue 5Y CAGR
20.5%
EPS TTM
-4.49
EPS 5Y CAGR
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Cash flow

How much cash the business throws off

Operating CF TTM
$-9.73M
Free CF TTM
$-9.90M
FCF margin
-141.6%

Dividend

Shareholder payout

Yield
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Payout ratio
0.0%
Last ex-div date
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