marketcaparena

AMCI

AMC Robotics Corp

Company overview

Market capitalization
$73.23M
Employees
3
Latest publication
2026-09-29
About AMC Robotics Corp

AMC Robotics Corporation manufactures and sells autonomous robots and AI-driven security and safety technology solutions in the United States, Canada, and Europe. The company offers smart, action, retina K, home, and outdoor cameras; driving recorders; YI dome guard for residential and commercial properties. It also provides various solutions, such as autonomous inspection; security and patrol robotics; robotic material handling; and logistics automation systems for robotic dogs, arms, and unloading systems. In addition, it provides data and API services; AI (Artificial Intelligence) and robotics platform; intelligent robotics; and AI powered technologies. It sells its products through e-commerce platforms. It serves smart factories and logistics; and security and inspection industries. AMC Robotics Corporation was incorporated in 2021 and is based in New York, New York.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USDQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USD
Total Revenue937,177USD1,184,616USD4,188,322USD——1,792,525USD2,190,485USD3,159,027USD
Cost Of Revenue186,570USD163,960USD1,823,504USD——1,304,195USD2,043,911USD3,182,864USD
Gross Profit750,607USD1,020,656USD2,364,818USD——488,330USD146,574USD-23,837USD
Research Development3,000USD22,999USD43,513USD——14,559USD59,115USD33,158USD
Selling General Administrative884,349USD854,786USD817,412USD——817,412USD650,582USD663,277USD
Selling And Marketing Expenses19,758USD14,332USD———404,112USD—483,093USD
General And Administrative Expenses884,349USD———————
Total Operating Expenses907,107USD892,117USD-862,562USD2,816,519USD168,274USD1,236,083USD-334,063USD1,107,059USD
Operating Income-156,500USD128,539USD3,227,380USD-2,816,519USD-168,274USD-747,753USD480,637USD-1,130,896USD
Total Other Income Expense Net-20,885USD19,161USD-25,339,235USD165,169USD191,642USD674,899USD746,439USD428,431USD
Income Before Tax-177,385USD147,700USD-22,111,855USD-2,651,350USD23,368USD-72,854USD1,227,076USD-702,465USD
Income Tax Expense-1,655USD2,099USD328USD——4,323USD330USD3,433USD
Net Income-175,730USD145,601USD-22,112,183USD-2,651,350USD23,368USD-77,177USD1,226,746USD-705,898USD
Net Income Applicable To Common Shares-175,730USD———————
Interest Income—28,651USD———318USD474USD200USD
Interest Expense—0USD8,114USD——16,502USD7,943USD0USD
Net Interest Income—28,651USD———-16,184USD-7,469USD200USD
Tax Provision—2,099USD———4,323USD330USD3,433USD
Net Income From Continuing Ops—145,601USD———-77,177USD1,226,746USD-705,898USD
Ebitda—147,700USD2,179,168USD-2,816,519USD-168,274USD-56,352USD1,235,019USD-702,465USD
Unclassified Operating Expenses——-1,723,487USD2,816,519USD——-1,043,760USD—
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Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USD
Total Revenue5,980,847USD10,200,957USD15,884,942USD17,892,017USD
Cost Of Revenue3,127,699USD9,544,977USD12,342,620USD14,726,762USD
Gross Profit2,853,148USD655,980USD3,542,322USD3,165,255USD
Research Development58,072USD255,414USD613,028USD24,809USD
Unclassified Operating Expenses3,300,242USD—1,262,146USD—
Total Operating Expenses3,358,314USD3,209,954USD6,733,474USD3,803,739USD
Operating Income-505,166USD-2,553,974USD-3,191,152USD-638,484USD
Interest Expense24,616USD26,942USD89,999USD12,082USD
Income Before Tax-24,812,691USD-769,136USD-1,398,100USD-68,983USD
Income Tax Expense4,651USD7,824USD21,416USD5,643USD
Net Income-24,817,342USD-776,960USD-1,419,516USD-74,626USD
Ebitda-505,166USD-742,194USD-1,308,101USD-56,901USD
Total Other Income Expense Net-24,307,525USD1,784,838USD1,793,052USD569,501USD
Selling General Administrative—2,190,635USD1,583,056USD980,126USD
Interest Income—675USD969USD120USD
Net Interest Income—-26,267USD-89,030USD-11,962USD
Tax Provision—7,824USD21,416USD5,643USD
Net Income From Continuing Ops—-776,960USD-1,419,516USD-74,626USD
Selling And Marketing Expenses——3,275,244USD2,589,782USD
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Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USDQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USD
Total Assets11,227,035USD11,299,702USD11,172,586USD18,955,577USD18,813,087USD6,814,017USD7,349,651USD7,812,849USD
Cash And Equivalents4,544,353USD———————
Long Term Investments1,000,000USD———————
Total Current Assets10,144,040USD11,203,651USD11,056,823USD25,888USD48,566USD6,762,173USD7,222,686USD7,685,769USD
Other Non Current Assets7,697USD———————
Total Liabilities920,567USD———————
Total Current Liabilities890,819USD772,552USD686,821USD5,264,797USD2,470,957USD9,205,822USD9,666,992USD11,338,235USD
Total Stockholder Equity10,306,468USD10,482,380USD10,426,202USD13,690,780USD16,342,130USD-2,408,902USD-2,331,615USD-3,558,718USD
Total Equity Including Noncontrolling Interest10,306,468USD———————
Inventory771,483USD939,742USD1,094,529USD——2,492,337USD3,555,876USD4,454,831USD
Property Plant Equipment Net75,298USD88,354USD101,221USD—————
Short Term Debt58,901USD58,120USD57,349USD1,830,737USD1,782,069USD838,190USD828,251USD6,349USD
Common Stock2,260USD2,260USD2,260USD18,929,917USD18,764,749USD80,000USD80,000USD80,000USD
Retained Earnings-27,368,238USD-27,192,508USD-27,229,088USD-5,239,137USD-2,422,619USD-2,547,765USD-2,470,588USD-3,697,335USD
Accumulated Other Comprehensive Income-669USD-487USD———-5,836USD-5,726USD-6,082USD
Other Current Assets—322,802USD415,467USD22,175USD44,350USD478,671USD339,300USD318,136USD
Total Liab—817,322USD746,384USD5,264,797USD2,470,957USD9,222,919USD9,681,266USD11,371,567USD
Other Current Liab—712,633USD629,472USD3,434,060USD688,888USD574,092USD288,825USD355,996USD
Capital Stock—2,260USD———80,000USD80,000USD80,000USD
Cash—6,632,619USD7,004,601USD3,713USD4,216USD261,534USD358,887USD599,779USD
Cash And Short Term Investments—6,632,619USD7,004,601USD3,713USD4,216USD261,534USD358,887USD599,779USD
Net Debt—-6,536,568USD-6,894,499USD1,827,024USD1,777,853USD576,656USD469,364USD-593,430USD
Short Long Term Debt Total—96,051USD110,102USD1,830,737USD1,782,069USD838,190USD828,251USD6,349USD
Net Receivables—3,308,488USD2,542,226USD——3,529,631USD2,968,623USD2,313,023USD
Accounts Payable—1,799USD———7,786,920USD8,543,243USD10,969,271USD
Property Plant Equipment Gross—88,354USD——————
Common Stock Shares Outstanding—24,810,555shares18,289,571shares3,854,856shares3,854,856shares21,069,382shares21,069,382shares21,069,382shares
Non Current Assets Total—96,050USD115,763USD18,929,689USD18,764,521USD51,844USD126,965USD127,080USD
Non Current Liabilities Total—44,769USD59,563USD——17,097USD14,274USD33,332USD
Non Currrent Assets Other—7,696USD14,542USD——-18,356,036USD-17,928,736USD-52,939,429USD
Net Working Capital—10,431,099USD———-2,443,649USD-2,444,306USD-3,652,466USD
Unclassified Equity—37,670,855USD37,653,030USD—————
Unclassified Non Current Assets———18,929,689USD18,764,521USD———
Short Long Term Debt—————838,190USD828,251USD6,349USD
Non Current Liabilities Other—————17,097USD14,274USD33,332USD
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USD
Total Assets11,172,586USD7,349,651USD8,363,096USD71,192,414USD
Other Current Assets415,467USD339,300USD187,897USD-5,961,514USD
Total Liab746,384USD9,681,266USD387,955USD257,871USD
Total Stockholder Equity10,426,202USD-2,331,615USD-1,554,928USD70,934,543USD
Other Current Liab629,472USD288,825USD912,961USD158,777USD
Common Stock2,260USD80,000USD80,000USD70,380,228USD
Retained Earnings-27,229,088USD-2,470,588USD-1,693,628USD-42,578USD
Cash7,004,601USD358,887USD28,560USD659,035USD
Cash And Short Term Investments7,004,601USD358,887USD28,560USD659,035USD
Total Current Assets11,056,823USD7,222,686USD8,234,887USD741,806USD
Total Current Liabilities686,821USD9,666,992USD9,896,017USD7,102,341USD
Net Debt-6,894,499USD469,364USD136,440USD-659,035USD
Short Term Debt57,349USD828,251USD165,000USD514,584USD
Short Long Term Debt Total110,102USD828,251USD165,000USD514,584USD
Net Receivables2,542,226USD2,968,623USD2,959,652USD3,061,476USD
Inventory1,094,529USD3,555,876USD5,058,778USD2,982,809USD
Property Plant Equipment Net101,221USD———
Common Stock Shares Outstanding18,289,571shares21,069,382shares21,069,382shares21,069,382shares
Non Current Assets Total115,763USD126,965USD128,209USD70,450,608USD
Non Current Liabilities Total59,563USD14,274USD22,007USD14,314USD
Non Currrent Assets Other14,542USD-17,928,736USD-50,752,395USD32,380USD
Unclassified Equity37,653,030USD———
Capital Stock—80,000USD80,000USD0USD
Short Long Term Debt—828,251USD821,796USD514,584USD
Accounts Payable—8,543,243USD8,799,301USD6,407,297USD
Accumulated Other Comprehensive Income—-5,726USD-5,999USD-5,361USD
Non Current Liabilities Other—14,274USD22,007USD14,314USD
Net Working Capital—-2,444,306USD-1,661,130USD-347,188USD
Unclassified Current Assets———-5,961,514USD
Unclassified Non Current Assets———70,418,228USD
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Cash flow YTD

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USD
Other Non Cash Items-25,923USD
Change To Account Receivables159USD
Change To Inventory248,053USD
Change In Working Capital250,986USD
Operating Cash Flow-1,479,664USD
Investing Cash Flow-1,000,000USD
Financing Cash Flow20,085USD
Effect Of Forex Changes On Cash-669USD
Change In Cash-2,460,248USD
End Cash Flow4,544,353USD
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Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USDQ1 20242024-03-31 · USDQ4 20232023-12-31 · USD
Net Income145,601USD-77,177USD1,226,746USD-705,897USD-741,355USD-556,454USD798,732USD
Other Non Cash Items14,057USD34,851USD-1,169,800USD-30,062USD590,104USD714,691USD-987,850USD
Change To Account Receivables-766,262USD-255,384USD586,877USD-270,589USD377,136USD668,573USD—
Change To Inventory155,096USD1,038,114USD519,077USD2,406,727USD355,072USD-3,104,329USD—
Change In Working Capital-551,238USD246,311USD-1,336,218USD1,205,907USD821,993USD548,800USD159,835USD
Total Cash From Operating Activities-391,580USD203,985USD-1,279,272USD469,948USD670,742USD707,037USD-29,283USD
Capital Expenditures-391,580USD0USD-4USD0USD0USD0USD-3USD
Free Cash Flow-391,580USD203,985USD-1,279,272USD469,948USD670,742USD707,037USD-29,280USD
Total Cash From Financing Activities20,085USD220,000USD738,643USD-75,000USD-447,975USD-364,487USD-23,117,936USD
Change In Cash6,628,906USD-97,353USD-240,892USD352,846USD-66,591USD185,724USD-29,283USD
Begin Period Cash Flow3,713USD358,887USD599,779USD246,933USD313,524USD127,800USD57,843USD
End Period Cash Flow6,632,619USD261,534USD358,887USD599,779USD246,933USD313,524USD28,560USD
Other Cashflows From Financing Activities20,085USD—35,873,337USD-295,000USD5,000USD——
Total Cashflows From Investing Activities—-305,624USD299,381USD-41,900USD-289,394USD-156,909USD23,117,936USD
Net Borrowings—0USD821,982USD0USD-452,975USD——
Other Cashflows From Investing Activities—-305,624USD299,381USD-41,900USD-289,394USD-156,909USD23,117,936USD
Sale Purchase Of Stock——-35,956,676USD———-23,282,936USD
Issuance Of Capital Stock——0USD0USD———
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USD
Net Income-24,817,342USD-776,960USD-1,419,516USD-74,626USD
Other Non Cash Items25,744,470USD-496,132USD1,202,638USD278,496USD
Change To Account Receivables-337,914USD1,361,997USD-735,049USD-2,564,525USD
Change To Inventory2,303,359USD176,547USD-2,075,969USD-914,522USD
Change In Working Capital-6,482,968USD1,240,482USD-413,597USD3,227USD
Total Cash From Operating Activities-5,555,840USD-32,610USD-630,475USD207,097USD
Capital Expenditures0USD0USD-5USD0USD
Free Cash Flow-5,555,840USD568,455USD-630,480USD207,097USD
Total Cashflows From Investing Activities15,862USD35,406,676USD23,117,936USD-105,217USD
Total Cash From Financing Activities12,179,965USD-35,398,410USD-23,117,936USD500,000USD
Change In Cash6,645,714USD-24,345USD-630,475USD594,867USD
Begin Period Cash Flow358,887USD127,800USD659,035USD83,953USD
End Period Cash Flow7,004,601USD358,887USD28,560USD678,820USD
Other Cashflows From Investing Activities15,862USD—23,117,936USD-105,217USD
Other Cashflows From Financing Activities-2,969,086USD———
Unclassified Financing Cash Flow15,149,051USD-35,482,930USD——
Net Borrowings—4,520USD817,462USD500,000USD
Issuance Of Capital Stock—80,000USD0USD—
Unclassified Investing Cash Flow—35,406,676USD——
Sale Purchase Of Stock——-23,282,936USD—
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

PeriodDimensionBusiness / regionRevenueCurrencySource
FY 2025Yearly · 2025-12-31ProductIntelligent Information Service Related Party222,661USD0001493152-26-018144
FY 2025Yearly · 2025-12-31ProductProduct Revenue2,346,474USD0001493152-26-018144
FY 2025Yearly · 2025-12-31ProductProduct Revenue Related Party515,756USD0001493152-26-018144
FY 2025Yearly · 2025-12-31ProductRevenue Share Related Party2,895,956USD0001493152-26-018144
FY 2024Yearly · 2024-12-31ProductProduct Revenue7,439,899USD0001493152-26-018144
FY 2024Yearly · 2024-12-31ProductProduct Revenue Related Party6,270USD0001493152-26-018144
FY 2024Yearly · 2024-12-31ProductRevenue Share Related Party2,754,788USD0001493152-26-018144

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.