marketcaparena

ATHR

Aether Holdings, Inc.

Company overview

Market capitalization
$42.71M
Employees
7
Latest publication
2026-09-29
About Aether Holdings, Inc.

Aether Holdings, Inc. develops and operates financial technology platform in the United States. The company operates SentimenTrader.com, a cloud-based software platform that provides proprietary research analytics, data, and tools for institutional and retail equity traders. Its platform offers data and technology products that allow review of market sentiment analyses comprising DataEdge API, Indicators and Charts, and Backtest Engine; research reports consisting of SentimentEdge Report, Kaeppel's Corner, ModelEdge Report, and TradingEdge Weekly; and actionable strategy products, including Smart Stock Scanner and Index Trading Strategies. It also operates a portfolio of newsletters comprising The Alpha Edge Digest, WhaleTales, Altcoin Investing Picks, The Russell Report, IPO Stream, Stockcastr, and 21Bitcoin.xyz; and events, including Alpha Edge Summit and Aether grid products. In addition, the company engages in financial technology tools, research publication, and newsletters; and research and development activities. The company serves retail and active traders, technical analysts, investors, financial professionals, educators, researchers, fintech companies, media outlets, and hobbyists. Aether Holdings, Inc. was founded in 2003 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 —.
MetricQ3 20262026-06-30 · USDQ2 20262026-03-31 · USDQ1 20262025-12-31 · USDQ4 20252025-09-30 · USDQ3 20252025-06-30 · USDQ2 20252025-03-31 · USDQ1 20252024-12-31 · USDQ4 20242024-09-30 · USD
Total Revenue328,705USD336,041USD338,804USD341,890USD342,411USD341,906USD354,643USD352,775USD
Cost Of Revenue64,468USD64,784USD66,420USD83,021USD103,186USD109,616USD107,558USD112,321USD
Gross Profit264,237USD271,257USD272,384USD258,869USD239,225USD232,290USD247,085USD240,454USD
Research Development100,654USD73,172USD57,947USD52,500USD—0USD0USD150,000USD
Selling General Administrative1,306,839USD1,056,512USD1,347,444USD1,366,412USD1,149,713USD560,551USD510,029USD372,050USD
Selling And Marketing Expenses150,397USD188,986USD196,572USD331,537USD143,181USD56,622USD22,045USD27,801USD
General And Administrative Expenses1,306,839USD———————
Total Operating Expenses1,557,890USD1,318,670USD1,601,963USD1,750,449USD1,292,894USD617,173USD532,074USD549,851USD
Operating Income-1,293,653USD-1,047,413USD-1,329,579USD-1,491,580USD-1,053,669USD-384,883USD-284,989USD-309,397USD
Total Other Income Expense Net-49,087USD18,449USD32,342USD68,473USD47,845USD———
Interest Expense69,968USD———————
Net Interest Income-60,854USD6,449USD25,305USD43,594USD47,845USD0USD0USD—
Income Before Tax-1,342,740USD-1,028,964USD-1,297,237USD-1,423,107USD-1,005,824USD-384,883USD-284,989USD-309,397USD
Income Tax Expense0USD————5,298USD——
Net Income-1,342,740USD-1,028,964USD-1,297,237USD-1,423,107USD-1,005,824USD-390,181USD-284,989USD-309,397USD
Interest Income—6,449USD25,305USD43,594USD47,845USD0USD0USD—
Tax Provision—0USD—0USD0USD5,298USD0USD0USD
Net Income From Continuing Ops—-1,028,964USD-1,297,237USD-1,423,107USD-1,005,824USD-390,181USD-284,989USD-309,397USD
Ebit—-1,047,412USD-1,329,579USD-1,422,512USD-1,005,824USD-384,883USD-284,989USD-309,397USD
Ebitda—-1,017,707USD-1,321,835USD-1,423,106USD-1,005,215USD-384,359USD-284,466USD-308,874USD
Depreciation And Amortization—29,705USD7,744USD-594USD609USD524USD523USD523USD
Reconciled Depreciation—29,706USD7,744USD-594USD610USD524USD523USD523USD
Minority Interest———————0USD
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Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-09-30 · USDFY 20242024-09-30 · USDFY 20232023-09-30 · USDFY 20222022-09-30 · USD
Total Revenue1,380,850USD1,440,096USD1,555,542USD1,586,088USD
Cost Of Revenue403,381USD445,466USD409,705USD407,191USD
Gross Profit977,469USD994,630USD1,145,837USD1,178,897USD
Research Development52,500USD150,000USD100,000USD—
Selling General Administrative3,623,915USD1,653,623USD1,287,290USD1,045,922USD
Selling And Marketing Expenses553,385USD130,443USD54,294USD154,385USD
Total Operating Expenses4,229,800USD1,934,066USD1,441,584USD1,200,307USD
Operating Income-3,252,331USD-939,436USD-295,747USD-21,410USD
Interest Income91,439USD0USD——
Net Interest Income91,439USD0USD——
Income Before Tax-3,136,013USD-939,436USD-295,747USD-21,410USD
Income Tax Expense5,298USD———
Tax Provision5,298USD0USD0USD0USD
Net Income-3,141,311USD-939,436USD-277,377USD-14,987USD
Net Income From Continuing Ops-3,141,311USD-939,436USD-295,747USD-21,410USD
Ebit-3,136,012USD-939,436USD-295,747USD-21,410USD
Ebitda-3,134,949USD-937,342USD-293,429USD-18,211USD
Depreciation And Amortization1,063USD2,094USD2,318USD3,199USD
Reconciled Depreciation1,063USD2,094USD2,318USD3,199USD
Total Other Income Expense Net116,318USD———
Minority Interest—0USD18,370USD6,423USD
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Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ3 20262026-06-30 · USDQ2 20262026-03-31 · USDQ1 20262025-12-31 · USDQ4 20252025-09-30 · USDQ3 20252025-06-30 · USDQ2 20252025-03-31 · USDQ1 20252024-12-31 · USDQ4 20242024-09-30 · USD
Total Assets4,636,320USD2,981,640USD4,006,938USD5,036,161USD6,522,883USD367,761USD556,943USD719,441USD
Cash And Equivalents254,446USD———————
Total Current Assets2,668,297USD1,083,201USD2,150,336USD4,783,242USD6,511,650USD365,493USD554,151USD716,126USD
Total Liabilities3,627,504USD———————
Total Current Liabilities791,606USD640,758USD637,092USD519,078USD582,693USD964,061USD725,852USD603,361USD
Other Current Liabilities5,174USD———————
Total Stockholder Equity1,008,816USD2,340,882USD3,369,846USD4,517,083USD5,940,190USD-596,300USD-168,909USD116,080USD
Total Equity Including Noncontrolling Interest1,008,816USD———————
Deferred Revenue381,169USD———————
Property Plant Equipment Net1,258,631USD1,265,471USD1,278,543USD112,069USD2,233USD2,268USD2,792USD3,315USD
Accounts Payable362,250USD176,048USD132,856USD67,430USD146,081USD71,489USD15,479USD1,186USD
Common Stock12,147USD12,144USD12,144USD12,101USD12,101USD10,031USD10,031USD12,037USD
Retained Earnings-8,867,148USD-7,524,408USD-6,495,444USD-5,198,207USD-3,775,100USD-2,769,276USD-2,341,885USD-2,056,896USD
Intangible Assets—535,763USD420,280USD40,850USD————
Other Current Assets—262,313USD351,657USD365,073USD280,166USD172,230USD160,440USD158,303USD
Total Liab—640,758USD637,092USD519,078USD582,693USD964,061USD725,852USD603,361USD
Other Current Liab—464,710USD143,944USD93,020USD40,749USD471,681USD342,315USD222,098USD
Capital Stock—12,144USD12,144USD12,101USD12,101USD10,031USD10,031USD12,037USD
Cash—807,957USD1,798,679USD4,418,169USD6,231,484USD193,263USD393,711USD557,823USD
Cash And Short Term Investments—807,957USD1,798,679USD4,418,169USD6,231,484USD193,263USD393,711USD557,823USD
Net Debt—-807,957USD-1,798,679USD-4,418,169USD-6,231,484USD-172,747USD-393,711USD-557,823USD
Net Receivables—12,931USD——————
Property Plant Equipment Gross—1,392,602USD1,453,176USD226,799USD17,557USD16,982USD16,982USD16,982USD
Common Stock Shares Outstanding—12,144,730shares12,117,967shares12,101,273shares11,873,799shares10,031,273shares11,831,273shares11,831,273shares
Non Current Assets Total—1,898,439USD1,856,602USD252,919USD11,233USD2,268USD2,792USD3,315USD
Non Current Liabilities Total—0USD0USD0USD0USD0USD0USD0USD
Non Currrent Assets Other—97,205USD157,779USD100,000USD9,000USD———
Net Working Capital—442,443USD1,513,244USD4,264,164USD5,928,957USD-598,568USD-171,701USD112,765USD
Unclassified Equity—9,841,002USD9,841,002USD9,691,088USD9,691,088USD2,152,914USD2,152,914USD2,148,902USD
Current Deferred Revenue——360,292USD358,628USD395,863USD395,077USD368,058USD380,077USD
Short Term Debt—————20,516USD——
Short Long Term Debt—————20,516USD——
Short Long Term Debt Total—————20,516USD——
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-09-30 · USDFY 20242024-09-30 · USDFY 20232023-09-30 · USDFY 20222022-09-30 · USD
Total Assets5,036,161USD719,441USD116,275USD267,986USD
Intangible Assets40,850USD———
Other Current Assets365,073USD158,303USD12,760USD—
Total Liab519,078USD603,361USD789,340USD578,637USD
Total Stockholder Equity4,517,083USD116,080USD-673,065USD-290,134USD
Other Current Liab93,020USD222,098USD269,061USD120,545USD
Common Stock12,101USD12,037USD9,583USD9,500USD
Capital Stock12,101USD12,037USD9,583USD9,500USD
Retained Earnings-5,198,207USD-2,056,896USD-1,117,460USD-299,634USD
Cash4,418,169USD557,823USD98,106USD260,259USD
Cash And Short Term Investments4,418,169USD557,823USD98,106USD260,259USD
Total Current Assets4,783,242USD716,126USD110,866USD260,259USD
Total Current Liabilities519,078USD603,361USD789,340USD578,637USD
Current Deferred Revenue358,628USD380,077USD403,440USD454,016USD
Net Debt-4,418,169USD-557,823USD-98,106USD-260,259USD
Accounts Payable67,430USD1,186USD116,839USD4,076USD
Property Plant Equipment Net4,069USD3,315USD5,409USD7,727USD
Property Plant Equipment Gross226,799USD16,982USD16,982USD16,982USD
Common Stock Shares Outstanding11,008,698shares11,831,273shares11,831,273shares11,831,273shares
Non Current Assets Total252,919USD3,315USD5,409USD7,727USD
Non Current Liabilities Total0USD0USD0USD0USD
Non Currrent Assets Other208,000USD———
Net Working Capital4,264,164USD112,765USD-678,474USD-318,378USD
Unclassified Equity9,691,088USD2,148,902USD——
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Cash flow YTD

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ3 20262026-06-30 · USD
Depreciation74,047USD
Change To Liabilities161,697USD
Change In Working Capital161,697USD
Operating Cash Flow-3,115,850USD
Capital Expenditures-1,175,098USD
Unclassified Investing Cash Flow-495,314USD
Investing Cash Flow-1,670,412USD
Other Financing Activities-22,500USD
Unclassified Financing Cash Flow2,800,674USD
Financing Cash Flow2,778,174USD
Change In Cash-2,008,088USD
End Cash Flow2,410,081USD
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Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-03-31 · USDQ1 20262025-12-31 · USDQ4 20252025-09-30 · USDQ3 20252025-06-30 · USDQ2 20252025-03-31 · USDQ1 20252024-12-31 · USDQ4 20242024-09-30 · USDQ3 20242024-06-30 · USD
Net Income-1,028,964USD-1,297,237USD-1,423,107USD-1,005,824USD284,989USD-284,989USD-309,397USD-327,861USD
Depreciation29,706USD7,744USD-594USD610USD-523USD523USD523USD524USD
Stock Based Compensation-14,778USD14,778USD0USD0USD0USD0USD0USD66,667USD
Other Non Cash Items78,297USD—-594USD-1,005,730USD-361,771USD———
Change To Account Receivables-12,931USD———————
Change In Working Capital16,560USD266,652USD-148,522USD-630,594USD-26,450USD26,450USD-42,187USD86,121USD
Total Cash From Operating Activities-919,179USD-1,008,063USD-1,572,223USD-1,636,324USD-103,755USD-258,016USD-351,061USD-241,216USD
Capital Expenditures-71,543USD-1,611,427USD-109,247USD0USD-5USD-4USD0USD-4USD
Free Cash Flow-919,179USD-2,619,490USD-1,681,470USD-1,636,324USD-103,755USD-258,016USD-351,061USD-241,216USD
Total Cashflows From Investing Activities-71,543USD-1,611,427USD-241,092USD-9,575USD————
Total Cash From Financing Activities0USD0USD0USD7,684,120USD-96,693USD93,904USD91,650USD273,597USD
Change In Cash-990,722USD-2,619,490USD-1,813,315USD6,038,221USD-200,448USD-164,112USD-259,411USD32,381USD
Begin Period Cash Flow1,798,679USD4,418,169USD6,231,484USD193,263USD393,711USD557,823USD817,234USD784,853USD
End Period Cash Flow807,957USD1,798,679USD4,418,169USD6,231,484USD193,263USD393,711USD557,823USD817,234USD
Other Cashflows From Investing Activities-71,543USD-442,829USD8,999USD-9,000USD————
Issuance Of Capital Stock——0USD7,725,350USD0USD0USD96,945USD319,920USD
Other Cashflows From Financing Activities——-7,725,350USD7,725,350USD-100,672USD100,672USD-5,295USD-46,323USD
Unclassified Financing Cash Flow——7,725,350USD-7,766,580USD————
Unclassified Operating Cash Flow———1,005,214USD————
Dividends Paid——————0USD0USD
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-09-30 · USDFY 20242024-09-30 · USDFY 20232023-09-30 · USDFY 20222022-09-30 · USD
Net Income-3,141,311USD-939,436USD-295,747USD-21,410USD
Depreciation1,063USD2,094USD2,318USD3,199USD
Stock Based Compensation0USD222,919USD434,895USD0USD
Change In Working Capital-430,070USD-138,957USD63,637USD135,723USD
Total Cash From Operating Activities-3,570,318USD-853,380USD205,103USD117,512USD
Capital Expenditures-1,817USD0USD-3USD0USD
Free Cash Flow-3,572,135USD-853,380USD205,103USD117,512USD
Total Cashflows From Investing Activities-250,667USD———
Total Cash From Financing Activities7,681,331USD1,313,097USD-367,256USD-122,944USD
Issuance Of Capital Stock7,725,350USD1,505,662USD0USD—
Change In Cash3,860,346USD459,717USD-162,153USD-5,432USD
Begin Period Cash Flow557,823USD98,106USD260,259USD265,691USD
End Period Cash Flow4,418,169USD557,823USD98,106USD260,259USD
Other Cashflows From Investing Activities-248,850USD———
Dividends Paid—0USD-71,194USD-30,512USD
Other Cashflows From Financing Activities—-192,565USD-296,062USD-92,432USD
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

No revenue breakdown is currently published for this company.

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.