TPTW
2024-06-30 | |
---|---|
Revenue | 447,304 |
Services | 454,068 |
Cost of revenue | 454,068 |
[gross profit] | -6,764 |
Professional | 622,493 |
Payroll and related | 398,189 |
General and administrative | 214,023 |
[operating expenses] | 1,234,705 |
Statement of operations | -1,241,469 |
Other income, net | 176,554 |
[interest expense] | 1,033,724 |
Gain on troubled debt restructuring | 4,681,075 |
Gain (loss) on debt extinguishment | 475,485 |
Derivative gain (loss) | 1,920,159 |
[other nonoperating income (expense)] | 6,219,549 |
[income (loss) from continuing operations before income taxes, noncontrolling interest] | 4,978,080 |
[income (loss) from continuing operations, net of tax, attributable to parent] | 4,978,080 |
[net income (loss) before non-controlling interests] | 4,978,080 |
Net loss (income) from non-controlling interests | -41,977 |
Net income (loss) attributable to tpt shareholders | 4,936,103 |