marketcaparena

CTNT

CHEETAH NET SUPPLY CHAIN SERVICE INC.

Company overview

Market capitalization
—
Employees
12
Latest publication
2026-09-29
About CHEETAH NET SUPPLY CHAIN SERVICE INC.

Cheetah Net Supply Chain Service Inc., together with its subsidiaries, provides logistics and warehousing services in the United States and internationally. It also provides freight forwarding, cargo storage, customs clearance, labor, and cargo loading and unloading services; warehousing services, such as medical supplies, vehicles, infant care items, and hazardous chemicals; and logistics services, including ocean and air freight, and trucking services. Cheetah Net Supply Chain Service Inc. was formerly known as Yuan Qiu Business Group LLC and changed its name to Cheetah Net Supply Chain Service Inc. in March 2022. The company was incorporated in 2016 and is headquartered in Irvine, California. Cheetah Net Supply Chain Service Inc. operates as a subsidiary of Fairview Eastern International Holdings Limited.

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 Revenue868,909USD92,700USD92,676USD361,935USD354,126USD479,799USD455,805,000,000USD61,208USD
Cost Of Revenue849,409USD72,833USD61,235USD317,757USD319,226USD423,543USD277,293,000,000USD31,339USD
Gross Profit19,500USD19,867USD31,441USD44,178USD34,900USD56,256USD178,512,000,000USD29,869USD
Selling General Administrative887,115USD770,004USD1,268,321USD801,263USD805,305USD1,000,519USD—1,102,454USD
General And Administrative Expenses887,115USD770,004USD—801,263USD805,305USD1,000,519USD—1,102,454USD
Total Operating Expenses901,297USD784,186USD1,301,715USD1,608,657USD815,749USD1,016,704USD3,919,058,000,000USD2,478,771USD
Operating Income-881,797USD-764,319USD-1,270,274USD-1,564,479USD-780,849USD-960,448USD—-2,448,902USD
Total Other Income Expense Net954,052USD152,454USD199,232USD249,829USD281,308USD211,894USD—73,630USD
Interest Income264,695USD151,142USD199,130USD244,776USD272,228USD208,090USD—88,459USD
Interest Expense6,799USD7,700USD8,477USD7,849USD8,060USD8,812USD—14,865USD
Income Before Tax72,255USD-611,865USD-1,071,042USD-1,314,650USD-499,541USD-748,554USD—-2,375,272USD
Income Tax Expense1,210USD4,400USD-2,426USD0USD12,987USD5,200USD—-559,980USD
Net Income71,045USD-616,265USD-1,068,616USD-1,314,650USD-512,528USD-753,909USD1,845,755,000,000USD-1,815,292USD
Net Income Applicable To Common Shares—-616,265USD———-753,909USD——
Net Interest Income——187,127USD—————
Tax Provision——-2,426USD—————
Net Income From Continuing Ops——-1,068,616USD—————
Ebit——-1,062,565USD—————
Ebitda——-750,012USD—————
Depreciation And Amortization——312,553USD—————
Reconciled Depreciation——312,553USD—————
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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 · USDFY 20212021-12-31 · USD
Total Revenue1,288,536USD455,805USD38,315,974USD55,153,335USD39,204,036USD
Cost Of Revenue1,121,761USD277,293USD34,069,058USD50,683,954USD36,202,694USD
Gross Profit166,775USD178,512USD4,246,916USD4,469,381USD3,001,342USD
Selling General Administrative3,627,426USD3,641,713USD2,170,113USD1,563,214USD725,312USD
General And Administrative Expenses3,627,426USD3,641,713USD———
Total Operating Expenses4,746,351USD3,919,058USD2,858,685USD941,538USD861,238USD
Operating Income-4,579,576USD-3,740,546USD1,388,231USD3,527,843USD2,140,104USD
Total Other Income Expense Net945,789USD292,530USD-1,207,704USD-2,476,384USD-746,027USD
Interest Income924,224USD320,472USD9,938USD——
Interest Expense33,198USD35,951USD1,223,107USD2,489,358USD1,075,545USD
Income Before Tax-3,633,787USD-3,448,016USD180,527USD1,051,459USD1,394,077USD
Income Tax Expense15,916USD-215,822USD46,657USD234,479USD223,872USD
Discontinued Operations0USD-1,978,603USD———
Net Income-3,649,703USD-5,188,852USD133,870USD816,980USD1,170,205USD
Net Income Applicable To Common Shares-3,649,703USD-5,188,852USD———
Selling And Marketing Expenses——637,728USD—135,926USD
Net Interest Income——-1,290,142USD-2,441,443USD-1,052,913USD
Tax Provision——46,657USD234,479USD223,872USD
Net Income From Continuing Ops——133,870USD816,980USD1,170,205USD
Ebit——1,415,849USD3,490,571USD2,432,897USD
Ebitda——1,555,994USD3,660,074USD2,520,691USD
Depreciation And Amortization——140,145USD169,503USD87,794USD
Reconciled Depreciation——140,145USD169,503USD87,794USD
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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 Assets82,516,592USD50,995,045USD11,858,464USD12,796,302USD13,895,388USD14,508,243USD15,379,454USD16,828,155USD
Cash And Equivalents2,143,604USD713,948USD233,217USD153,692USD185,186USD324,142USD1,650,962USD5,287,376USD
Total Current Assets75,721,333USD48,377,713USD9,065,646USD9,735,297USD9,916,789USD10,245,946USD11,037,072USD12,418,881USD
Other Current Assets821,030USD2,390,989USD238,648USD289,187USD118,929USD247,188USD338,642USD428,184USD
Total Liabilities2,190,010USD2,101,541USD2,502,877USD2,657,001USD2,517,524USD2,628,295USD2,761,782USD2,874,412USD
Total Current Liabilities1,592,490USD1,119,508USD1,345,618USD1,296,523USD976,800USD915,622USD883,261USD835,885USD
Other Current Liabilities9,713USD6,713USD5,204USD—————
Total Stockholder Equity80,326,582USD48,893,504USD9,355,587USD10,139,301USD11,377,864USD11,879,948USD12,617,672USD13,953,743USD
Total Equity Including Noncontrolling Interest80,326,582USD48,893,504USD9,355,587USD10,139,301USD11,377,864USD11,879,948USD12,617,672USD13,953,743USD
Short Long Term Debt37,279USD36,814USD35,902USD35,902USD36,412USD35,013USD34,577USD34,146USD
Long Term Debt552,570USD562,399USD572,653USD581,836USD590,352USD600,634USD610,020USD619,198USD
Net Receivables734,162USD1,650USD6,540USD11,700USD19,650USD59,059USD47,976USD3,291,450USD
Property Plant Equipment Net840,721USD1,372,410USD1,524,385USD1,769,060USD1,927,277USD2,082,303USD2,234,916USD2,384,991USD
Goodwill2,665,654USD475,862USD475,862USD475,862USD1,044,394USD1,044,394USD1,044,394USD568,532USD
Intangible Assets505,000USD769,060USD792,571USD816,083USD1,006,928USD1,035,000USD1,063,072USD481,142USD
Accounts Payable733,426USD6,778USD32,762USD1,669USD1,283USD33,010USD18,992USD7,515USD
Short Term Debt502,249USD620,594USD594,407USD640,688USD612,719USD524,140USD438,351USD376,062USD
Retained Earnings-8,875,534USD-8,946,579USD-8,330,314USD-7,261,698USD-5,947,048USD-5,434,520USD-4,680,611USD-2,528,861USD
Other Non Current Assets—————100,000USD——
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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 · USDFY 20212021-12-31 · USD
Total Assets11,858,464USD15,379,454USD10,059,265USD14,719,404USD18,256,378USD
Cash And Equivalents233,217USD1,650,962USD———
Total Current Assets9,065,646USD11,037,072USD9,820,537USD14,492,525USD17,701,936USD
Other Current Assets238,648USD338,642USD478,408USD923,332USD392,696USD
Total Liabilities2,502,877USD2,761,782USD———
Total Current Liabilities1,345,618USD883,261USD2,358,791USD12,195,607USD17,912,883USD
Other Current Liabilities5,204USD————
Total Stockholder Equity9,355,587USD12,617,672USD6,904,628USD1,845,355USD-170,425USD
Total Equity Including Noncontrolling Interest9,355,587USD12,617,672USD———
Short Long Term Debt35,902USD34,577USD1,874,784USD11,343,001USD14,074,954USD
Long Term Debt572,653USD610,020USD644,725USD678,442USD364,463USD
Net Receivables6,540USD47,976USD7,393,861USD7,544,877USD760,180USD
Property Plant Equipment Net1,524,385USD2,234,916USD190,823USD140,145USD309,647USD
Goodwill475,862USD1,044,394USD———
Intangible Assets792,571USD1,063,072USD———
Accounts Payable32,762USD18,992USD40,430USD86,285USD733,716USD
Short Term Debt594,407USD438,351USD1,914,487USD11,492,459USD14,238,504USD
Retained Earnings-8,330,314USD-4,680,611USD508,241USD374,371USD-442,609USD
Total Liab——3,154,637USD12,874,049USD18,426,803USD
Other Current Liab——403,874USD616,863USD1,869,306USD
Common Stock——1,792USD1,667USD1,500USD
Capital Stock——1,792USD1,667USD1,500USD
Good Will——0USD——
Other Assets——600,000USD——
Cash——432,998USD58,381USD500,977USD
Cash And Short Term Investments——432,998USD58,381USD500,977USD
Net Debt——2,277,335USD12,112,520USD14,251,447USD
Short Long Term Debt Total——2,710,333USD12,170,901USD14,752,424USD
Inventory——1,515,270USD5,965,935USD16,048,083USD
Property Plant Equipment Gross——190,823USD140,145USD309,647USD
Common Stock Shares Outstanding——8,958shares8,958shares8,958shares
Non Current Assets Total——238,728USD226,879USD554,442USD
Non Current Liabilities Total——795,846USD678,442USD513,920USD
Non Currrent Assets Other——-600,000USD-1,800,000USD—
Net Working Capital——7,461,746USD2,296,918USD-210,947USD
Unclassified Current Liabilities——-1,874,784USD-11,343,001USD-14,808,670USD
Unclassified Equity——6,392,803USD1,467,650USD—
Current Deferred Revenue————1,805,073USD
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Cash flow YTD

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ3 20242024-09-30 · USD
Depreciation55,018USD——17,518USD
Stock Based Compensation28,364USD102,716USD26,629USD261,666USD
Change To Account Receivables109,768USD36,276USD28,326USD2,155,505USD
Change To Liabilities-405,763USD198,978USD37,797USD-239,625USD
Change In Working Capital-606,033USD85,731USD248,039USD3,563,744USD
Operating Cash Flow-865,760USD733,783USD1,333,668USD601,526USD
Net Investments-41,110,573USD———
Other Investing Activities-4,974,529USD——-220,117USD
Unclassified Investing Cash Flow-22,525,246USD——-2,385,795USD
Investing Cash Flow-68,610,348USD-2,214,816USD-2,661,150USD-2,970,912USD
Financing Cash Flow71,386,496USD-16,237USD-138,294USD7,223,764USD
Change In Cash1,910,387USD-1,497,270USD-1,465,776USD4,854,378USD
End Cash Flow2,143,604USD153,692USD185,186USD5,287,376USD
Net Debt Issuance—-26,859USD-17,833USD—
Unclassified Financing Cash Flow—10,622USD-120,461USD—
Deferred Income Tax———-1,057,853USD
Change To Inventory———1,515,269USD
Capital Expenditures———-365,000USD
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Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 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 · USDQ2 20242024-06-30 · USD
Stock Based Compensation14,182USD284,902USD76,087,000,000USD10,444,000,000USD16,185USD277,345,000,000USD261,666,000,000USD0USD
Change To Account Receivables4,890USD-174,365USD——-11,083USD——-18,178USD
Change To Liabilities-205,424USD———5,734USD———
Change In Working Capital-2,147,448USD-203,944USD——79,773USD——-62,104USD
Operating Cash Flow-2,457,939USD—733,783,000,000USD1,333,668,000,000USD1,768,126USD242,220,000,000USD601,526,000,000USD—
Investing Cash Flow-37,142,689USD—-2,214,816,000,000USD-2,661,150,000,000USD-3,026,400USD-6,130,932,000,000USD-2,970,912,000,000USD—
Financing Cash Flow40,081,359USD—-16,237,000,000USD-138,294,000,000USD-68,539USD———
Change In Cash480,731USD79,525USD——-1,326,813USD1,217,964,000,000USD4,854,378,000,000USD5,389,697USD
End Cash Flow713,948USD———324,142USD———
Net Income—-1,068,616USD-1,314,650,000,000USD-512,528,000,000USD—1,845,755,000,000USD—-612,880USD
Depreciation—312,553USD——37,953USD27,400,000,000USD—49,063USD
Other Non Cash Items—-60,753USD—————8,715USD
Total Cash From Operating Activities—-735,858USD—————-867,737USD
Capital Expenditures—0USD—————-365,000USD
Free Cash Flow—-735,858USD—————-1,232,737USD
Total Cashflows From Investing Activities—873,000USD—————-865,000USD
Net Borrowings—-9,184USD——————
Total Cash From Financing Activities—-57,617USD—————7,122,434USD
Issuance Of Capital Stock—0USD—————7,309,120USD
Begin Period Cash Flow—153,692USD—————903,204USD
End Period Cash Flow—233,217USD—————6,292,901USD
Other Cashflows From Investing Activities—873,000USD—————-500,000USD
Other Cashflows From Financing Activities—-48,433USD—————-104,170USD
Change To Inventory———————200,296USD
Investments———————-865,000USD
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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 · USDFY 20212021-12-31 · USD
Stock Based Compensation387,618USD277,345USD5,252,141USD—-34,067USD
Change To Account Receivables41,436USD42,499USD1,081,766USD-7,066,535USD-777,478USD
Change To Liabilities390,485USD-20,505USD———
Change In Working Capital141,430USD25,011USD5,297,381USD1,137,873USD-2,513,971USD
Operating Cash Flow-2,075USD242,220USD———
Investing Cash Flow-1,341,816USD-6,130,932USD———
Financing Cash Flow-73,854USD7,106,676USD———
Change In Cash-1,417,745USD1,217,964USD374,617USD-442,596USD500,977USD
End Cash Flow233,217USD1,650,962USD———
Depreciation—80,328USD140,145USD169,503USD87,794USD
Deferred Income Tax—-222,206USD———
Capital Expenditures—-365,000USD-5USD0USD-3USD
Other Investing Activities—-350,137USD———
Unclassified Investing Cash Flow—-5,415,795USD———
Net Debt Issuance—-50,000USD———
Unclassified Financing Cash Flow—7,156,676USD-9,437,448USD—-6,612,552USD
Net Income——133,870USD816,980USD1,170,205USD
Other Non Cash Items——7,257,146USD-92,811USD-232,963USD
Change To Inventory——4,450,665USD10,452,396USD-1,294,083USD
Total Cash From Operating Activities——5,610,225USD2,189,605USD-1,308,407USD
Free Cash Flow——5,610,220USD2,189,605USD-1,308,410USD
Investments——-672,500USD0USD—
Total Cashflows From Investing Activities——-672,500USD——
Net Borrowings——-18,688USD-2,381,947USD41,900,342USD
Total Cash From Financing Activities——-4,563,108USD-2,632,201USD1,800,950USD
Issuance Of Capital Stock——4,925,403USD1,198,800USD0USD
Begin Period Cash Flow——58,381USD500,977USD8,434USD
End Period Cash Flow——432,998USD58,381USD500,977USD
Other Cashflows From Investing Activities——-672,500USD——
Other Cashflows From Financing Activities——-32,375USD-1,449,054USD-33,486,840USD
Unclassified Operating Cash Flow——-12,470,458USD——
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

PeriodDimensionBusiness / regionRevenueCurrencySource
Q1 2026Quarterly · 2026-03-31GeographyInternational13,170USDDisclosure
Q1 2026Quarterly · 2026-03-31GeographyUnited States79,530USDDisclosure
Q4 2025Quarterly · 2025-12-31GeographyInternational20,315USDLegacy provider
Q4 2025Quarterly · 2025-12-31GeographyUnited States72,361USDLegacy provider
FY 2025Yearly · 2025-12-31GeographyInternational73,451USDDisclosure
FY 2025Yearly · 2025-12-31GeographyUnited States1,215,085USDDisclosure
Q3 2025Quarterly · 2025-09-30GeographyInternational17,685USDDisclosure
Q3 2025Quarterly · 2025-09-30GeographyUnited States344,250USDDisclosure
Q2 2025Quarterly · 2025-06-30GeographyInternational20,535USDDisclosure
Q2 2025Quarterly · 2025-06-30GeographyUnited States333,591USDDisclosure
Q1 2025Quarterly · 2025-03-31GeographyInternational14,916USDDisclosure
Q1 2025Quarterly · 2025-03-31GeographyUnited States464,883USDDisclosure
Q4 2024Quarterly · 2024-12-31GeographyInternational37,462USDDisclosure
Q4 2024Quarterly · 2024-12-31GeographyUnited States186,738USDDisclosure
FY 2024Yearly · 2024-12-31GeographyInternational132,492USDDisclosure
FY 2024Yearly · 2024-12-31GeographyUnited States323,313USDDisclosure
Q3 2024Quarterly · 2024-09-30GeographyInternational24,348USDDisclosure
Q3 2024Quarterly · 2024-09-30GeographyUnited States36,860USDDisclosure
Q2 2024Quarterly · 2024-06-30SegmentLogistics And Warehousing93,563USD0001410578-24-001372
Q2 2024Quarterly · 2024-06-30SegmentParallel Import Vehicle200,297USD0001410578-24-001372
Q1 2024Quarterly · 2024-03-31SegmentLogistics And Warehousing76,834USD0001410578-24-000749
Q1 2024Quarterly · 2024-03-31SegmentParallel Import Vehicle1,430,951USD0001410578-24-000749
Q4 2023Quarterly · 2023-12-31GeographyInternational5,840,260USDLegacy provider
Q4 2023Quarterly · 2023-12-31GeographyUnited States0USDLegacy provider
FY 2023Yearly · 2023-12-31GeographyInternational30,155,579USD0001410578-24-000224
FY 2023Yearly · 2023-12-31GeographyUnited States8,160,395USD0001410578-24-000224
FY 2022Yearly · 2022-12-31GeographyInternational51,332,073USD0001410578-24-000224
FY 2022Yearly · 2022-12-31GeographyUnited States3,821,261USD0001410578-24-000224

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.