marketcaparena

LHAI

Linkhome Holdings Inc.

Company overview

Market capitalization
$17.03M
Employees
0
Latest publication
2026-09-29
About Linkhome Holdings Inc.

Linkhome Holdings Inc. operates as a property technology company in the United States. The company offers HomeGPT, a real estate AI technology platform; and Cash Offer, a fintech-enabled solution within the residential real estate transaction process. It also provides property management, home renovation, and mortgage referral services. The company was founded in 2021 and is based in Irvine, California.

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 Revenue5,411,777USD4,907,470USD5,077,688USD5,407,677USD4,799,556USD5,709,426USD2,193,523USD2,057,935USD
Cost Of Revenue5,253,058USD4,721,442USD4,882,227USD5,201,580USD4,690,014USD5,447,509USD1,610,936USD1,553,307USD
Gross Profit158,719USD186,028USD195,461USD206,097USD109,542USD261,917USD582,587USD504,628USD
Selling General Administrative338,843USD393,358USD265,377USD196,059USD80,254USD111,334USD25,236USD95,598USD
General And Administrative Expenses338,843USD———————
Total Operating Expenses356,026USD400,328USD265,549USD196,673USD96,268USD138,095USD37,598USD1,656,068USD
Operating Income-197,307USD-214,300USD-70,088USD9,424USD13,274USD123,822USD544,989USD401,867USD
Total Other Income Expense Net33,154USD47,828USD54,625USD-691USD7,590USD-11,749USD-595USD1,045USD
Interest Expense516USD546USD2,947USD616USD647USD682USD804USD741USD
Income Before Tax-164,153USD-166,472USD-15,463USD8,733USD20,864USD112,073USD544,394USD401,886USD
Income Tax Expense-35,648USD-31,802USD4,405USD9,038USD6,446USD31,444USD141,447USD—
Net Income-128,505USD-134,670USD-19,868USD-305USD14,418USD80,629USD402,947USD284,109USD
Selling And Marketing Expenses—6,970USD8,731USD614USD7,455USD17,341USD3,518USD—
Interest Income—24,765USD———0USD——
Net Interest Income—24,219USD17,303USD-691USD-767USD-742USD-782USD-1,026USD
Tax Provision—-31,802USD4,405USD9,038USD6,446USD31,444USD141,447USD117,777USD
Net Income From Continuing Ops—-134,670USD-19,868USD-305USD14,418USD80,629USD402,947USD284,109USD
Ebit—-165,926USD-12,516USD9,349USD21,511USD112,755USD545,198USD—
Ebitda—-118,783USD14,248USD20,180USD26,279USD117,394USD549,901USD—
Depreciation And Amortization—47,143USD26,764USD10,831USD4,768USD4,639USD4,703USD—
Reconciled Depreciation—47,143USD26,764USD10,831USD4,768USD4,639USD4,703USD4,704USD
Unclassified Operating Expenses———————1,560,470USD
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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 Revenue20,994,347USD7,615,307USD1,369,855USD625,156USD
Cost Of Revenue20,221,330USD6,144,926USD1,117,770USD350,000USD
Gross Profit773,017USD1,470,381USD252,085USD275,156USD
Selling General Administrative662,444USD365,207USD77,937USD13,389USD
Selling And Marketing Expenses34,141USD15,754USD4,476USD868USD
Total Operating Expenses696,585USD380,961USD93,237USD14,257USD
Operating Income76,432USD1,089,420USD158,848USD260,899USD
Interest Income19,995USD0USD——
Interest Expense4,892USD3,115USD967USD0USD
Net Interest Income15,103USD-3,571USD-967USD0USD
Income Before Tax126,207USD1,087,588USD153,118USD261,033USD
Income Tax Expense51,333USD309,352USD1,925USD4,380USD
Tax Provision51,333USD309,352USD1,925USD4,380USD
Net Income74,874USD778,236USD151,193USD256,653USD
Net Income From Continuing Ops74,874USD778,236USD151,193USD256,653USD
Ebit131,101USD1,090,703USD154,085USD261,033USD
Ebitda178,101USD1,109,465USD160,127USD261,049USD
Depreciation And Amortization47,000USD18,762USD6,042USD16USD
Reconciled Depreciation47,002USD18,762USD6,042USD16USD
Total Other Income Expense Net49,775USD-1,832USD-5,730USD134USD
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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 Assets8,366,154USD8,223,905USD10,015,073USD8,624,302USD3,550,308USD3,429,954USD3,429,513USD2,930,535USD
Cash And Equivalents5,102,528USD———————
Cash And Short Term Investments5,361,474USD3,471,824USD7,018,931USD3,662,388USD2,557,245USD584,143USD1,670,949USD—
Short Term Investments258,946USD————124,993USD——
Total Current Assets5,700,332USD5,448,122USD7,147,166USD6,363,244USD3,475,771USD3,339,588USD3,323,648USD2,808,356USD
Other Current Assets274,267USD1,948,323USD18,267USD2,689,771USD918,526USD921,445USD722,499USD—
Total Liabilities791,893USD———————
Total Current Liabilities561,240USD457,021USD2,082,601USD1,097,909USD974,439USD866,362USD944,447USD846,342USD
Other Current Liabilities434,345USD———————
Total Stockholder Equity7,574,261USD7,504,766USD7,639,436USD7,202,983USD2,544,732USD2,530,314USD2,449,685USD2,046,738USD
Total Equity Including Noncontrolling Interest7,574,261USD———————
Net Receivables300USD27,975USD109,968USD11,085USD0USD1,834,000USD23,139USD1,454,000USD
Property Plant Equipment Net1,452,678USD1,535,790USD1,601,533USD1,870,746USD68,853USD18,550USD100,181USD115,545USD
Intangible Assets508,103USD536,603USD564,753USD2,874USD1,449USD1,449USD1,449USD—
Accounts Payable4,300USD4,300USD93,735USD90,775USD0USD0USD21,300USD37,616USD
Short Term Debt113,687USD120,449USD118,342USD116,270USD15,993USD27,138USD38,082USD—
Common Stock16,530USD16,230USD16,230USD16,230USD14,505USD14,505USD14,505USD—
Retained Earnings970,189USD1,098,694USD1,233,364USD1,253,232USD1,253,537USD1,239,119USD1,158,490USD755,543USD
Total Liab—719,139USD2,375,637USD1,421,319USD1,005,576USD899,640USD979,828USD883,797USD
Other Current Liab—332,272USD1,870,524USD890,864USD605,761USD839,224USD569,668USD—
Capital Stock—16,230USD16,230USD16,230USD14,505USD14,505USD14,505USD14,505USD
Cash—3,471,824USD7,018,931USD3,662,388USD2,557,245USD584,143USD1,670,949USD718,138USD
Net Debt—-3,113,763USD-6,634,307USD-3,251,671USD-2,510,115USD-557,005USD-1,597,486USD—
Short Long Term Debt—8,768USD8,631USD8,495USD8,362USD8,231USD8,102USD7,975USD
Short Long Term Debt Total—358,061USD384,624USD410,717USD47,130USD27,138USD73,463USD—
Long Term Debt—24,506USD26,754USD28,963USD31,137USD33,278USD35,381USD37,455USD
Long Term Investments—50,000USD50,000USD———0USD—
Inventory—1,665,203USD0USD0USD0USD0USD907,061USD—
Property Plant Equipment Gross—1,618,134USD1,665,234USD2,269,987USD103,080USD114,141USD125,001USD135,662USD
Common Stock Shares Outstanding—16,230,000shares15,216,699shares15,781,500shares16,005,000shares14,505,000shares14,431,189shares16,005,000shares
Non Current Assets Total—2,775,783USD2,867,907USD2,261,058USD74,537USD90,366USD105,865USD122,179USD
Non Current Liabilities Total—262,118USD293,036USD323,410USD31,137USD33,278USD35,381USD37,455USD
Non Currrent Assets Other—667,129USD700,879USD387,438USD4,235USD67,287USD4,235USD2,000USD
Net Working Capital—4,991,101USD5,064,565USD5,265,335USD2,501,332USD2,473,226USD2,379,201USD1,962,014USD
Unclassified Current Assets—-1,665,203USD——————
Unclassified Equity—6,373,612USD6,373,612USD5,917,291USD1,262,185USD1,262,185USD1,262,185USD1,276,690USD
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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 Assets10,015,073USD3,429,513USD839,945USD295,854USD
Intangible Assets564,753USD1,449USD——
Other Current Assets18,267USD1,634,539USD——
Total Liab2,375,637USD979,828USD148,496USD37,444USD
Total Stockholder Equity7,639,436USD2,449,685USD691,449USD258,410USD
Other Current Liab1,870,524USD885,065USD1,112USD—
Common Stock16,230USD14,505USD13,500USD13,500USD
Capital Stock16,230USD14,505USD13,500USD13,500USD
Retained Earnings1,233,364USD1,158,490USD380,254USD250,215USD
Cash7,018,931USD1,670,949USD651,911USD188,963USD
Cash And Short Term Investments7,018,931USD1,670,949USD651,911USD188,963USD
Total Current Assets7,147,166USD3,323,648USD677,311USD295,644USD
Total Current Liabilities2,082,601USD944,447USD75,033USD37,444USD
Net Debt-6,634,307USD-1,632,867USD-529,608USD-188,963USD
Short Term Debt118,342USD38,082USD48,840USD—
Short Long Term Debt8,631USD8,102USD7,605USD—
Short Long Term Debt Total384,624USD38,082USD122,303USD—
Long Term Debt26,754USD35,381USD43,483USD—
Long Term Investments50,000USD0USD——
Net Receivables109,968USD18,160USD25,400USD106,681USD
Inventory0USD907,061USD0USD—
Accounts Payable93,735USD21,300USD16,703USD33,064USD
Property Plant Equipment Net1,601,533USD29,410USD158,399USD210USD
Property Plant Equipment Gross1,665,234USD125,001USD164,457USD226USD
Common Stock Shares Outstanding15,216,699shares14,357,377shares16,005,000shares16,005,000shares
Non Current Assets Total2,867,907USD105,865USD162,634USD210USD
Non Current Liabilities Total293,036USD35,381USD73,463USD0USD
Non Currrent Assets Other700,879USD75,006USD4,235USD—
Net Working Capital5,064,565USD2,379,201USD602,278USD258,200USD
Unclassified Equity6,373,612USD1,262,185USD——
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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
Net Income-134,670USD-19,868USD-305USD14,418USD80,629USD402,947USD284,109USD50,888USD
Depreciation47,143USD26,764USD10,831USD4,768USD4,639USD4,703USD4,704USD4,704USD
Other Non Cash Items55,919USD576,187USD-1,468,667USD-8,570USD10,793USD-214USD72USD-8,880USD
Change To Account Receivables46,474USD-99,625USD-8,005USD1,834,000USD-1,818,920USD1,435,840USD-1,426,314USD97,209USD
Change To Inventory-1,665,203USD907,061USD-907,061USD0USD907,061USD———
Change In Working Capital-3,225,519USD2,238,004USD-1,649,437USD1,691,799USD-989,893USD593,371USD-1,282,537USD-18,414USD
Total Cash From Operating Activities-3,292,646USD2,823,425USD-3,107,578USD1,702,415USD-893,832USD1,000,807USD-993,652USD28,298USD
Capital Expenditures-350USD-303,650USD0USD0USD0USD-1,050USD0USD0USD
Free Cash Flow-3,292,646USD2,519,775USD-3,107,578USD1,702,415USD-893,832USD999,757USD-993,652USD28,298USD
Investments0USD-50,000USD-305,075USD133,349USD-136,000USD-1,050USD0USD0USD
Total Cashflows From Investing Activities-252,350USD-620,000USD-305,075USD133,349USD-136,000USD-1,050USD——
Net Borrowings-2,111USD-2,073USD-2,042USD-2,009USD-1,974USD-1,946USD-1,916USD—
Total Cash From Financing Activities-2,111USD1,153,118USD4,517,796USD137,338USD-56,974USD-46,946USD51,084USD95,114USD
Change In Cash-3,547,107USD3,356,543USD1,105,143USD1,973,102USD-1,086,806USD952,811USD-942,568USD123,412USD
Begin Period Cash Flow7,018,931USD3,662,388USD2,557,245USD584,143USD1,670,949USD718,138USD1,660,706USD1,537,294USD
End Period Cash Flow3,471,824USD7,018,931USD3,662,388USD2,557,245USD584,143USD1,670,949USD718,138USD1,660,706USD
Other Cashflows From Investing Activities-252,350USD-266,350USD-305,075USD—————
Other Cashflows From Financing Activities-2,111USD-389,253USD-138,718USD139,347USD-55,000USD-45,000USD—97,000USD
Issuance Of Capital Stock—1,544,444USD4,658,556USD0USD0USD0USD50,000USD0USD
Dividends Paid—————0USD0USD0USD
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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 Income74,874USD778,236USD151,193USD256,653USD
Depreciation47,000USD18,762USD6,042USD16USD
Other Non Cash Items-887,175USD-8,807USD285USD9,092USD
Change To Account Receivables-92,550USD-8,676USD106,289USD-115,773USD
Change To Inventory907,061USD-907,061USD0USD—
Change In Working Capital1,290,473USD-793,035USD65,794USD-79,148USD
Total Cash From Operating Activities524,430USD-4,844USD223,314USD186,613USD
Capital Expenditures-303,650USD-3,513USD-40,522USD-226USD
Free Cash Flow220,780USD-4,844USD182,792USD186,387USD
Investments-52,651USD-3,513USD-40,522USD-226USD
Total Cashflows From Investing Activities-927,726USD-3,513USD-40,522USD-226USD
Net Borrowings-8,098USD-7,605USD-1,690USD0USD
Total Cash From Financing Activities5,751,278USD1,027,395USD280,156USD-3,865USD
Issuance Of Capital Stock6,203,000USD980,000USD303,000USD0USD
Change In Cash5,347,982USD1,019,038USD462,948USD182,522USD
Begin Period Cash Flow1,670,949USD651,911USD188,963USD6,441USD
End Period Cash Flow7,018,931USD1,670,949USD651,911USD188,963USD
Other Cashflows From Investing Activities-621,425USD-3,513USD——
Other Cashflows From Financing Activities-443,624USD55,000USD——
Dividends Paid—0USD-21,154USD-3,865USD
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

PeriodDimensionBusiness / regionRevenueCurrencySource
Q1 2026Quarterly · 2026-03-31ProductDisaggregation Of Revenue — Mortgage Referral Fee13,113USD0001213900-26-055786
Q1 2026Quarterly · 2026-03-31ProductDisaggregation Of Revenue — Property Management Service6,857USD0001213900-26-055786
Q1 2026Quarterly · 2026-03-31ProductDisaggregation Of Revenue — Real Estates Agency Commission54,500USD0001213900-26-055786
Q1 2026Quarterly · 2026-03-31ProductRevenue From Property Purchases And Sales Through Cash Offer4,833,000USD0001213900-26-055786
FY 2025Yearly · 2025-12-31ProductDisaggregation Of Revenue — Home Renovation Service82,769USD0001213900-26-034538
FY 2025Yearly · 2025-12-31ProductDisaggregation Of Revenue — Mortgage Referral Fee64,254USD0001213900-26-034538
FY 2025Yearly · 2025-12-31ProductDisaggregation Of Revenue — Property Management Service35,148USD0001213900-26-034538
FY 2025Yearly · 2025-12-31ProductDisaggregation Of Revenue — Real Estates Agency Commission657,914USD0001213900-26-034538
FY 2025Yearly · 2025-12-31ProductRevenue From Property Purchases And Sales Through Cash Offer20,154,262USD0001213900-26-034538
Q3 2025Quarterly · 2025-09-30ProductDisaggregation Of Revenue — Mortgage Referral Fee3,500USD0001213900-25-110060
Q3 2025Quarterly · 2025-09-30ProductDisaggregation Of Revenue — Property Management Service2,927USD0001213900-25-110060
Q3 2025Quarterly · 2025-09-30ProductDisaggregation Of Revenue — Real Estate Agency Commission199,048USD0001213900-25-110060
Q3 2025Quarterly · 2025-09-30ProductDisaggregation Of Revenue — Rental Commissions18,930USD0001213900-25-110060
Q3 2025Quarterly · 2025-09-30ProductRevenue From Property Purchases And Sales Through Cash Offer5,183,272USD0001213900-25-110060
Q1 2025Quarterly · 2025-03-31ProductDisaggregation Of Revenue — Home Renovation Service9,952USD0001213900-26-055786
Q1 2025Quarterly · 2025-03-31ProductDisaggregation Of Revenue — Mortgage Referral Fee6,300USD0001213900-26-055786
Q1 2025Quarterly · 2025-03-31ProductDisaggregation Of Revenue — Property Management Service1,767USD0001213900-26-055786
Q1 2025Quarterly · 2025-03-31ProductDisaggregation Of Revenue — Real Estates Agency Commission211,517USD0001213900-26-055786
Q1 2025Quarterly · 2025-03-31ProductRevenue From Property Purchases And Sales Through Cash Offer5,479,890USD0001213900-26-055786
FY 2024Yearly · 2024-12-31ProductDisaggregation Of Revenue — Home Renovation Service245,226USD0001213900-26-034538
FY 2024Yearly · 2024-12-31ProductDisaggregation Of Revenue — Mortgage Referral Fee4,050USD0001213900-26-034538
FY 2024Yearly · 2024-12-31ProductDisaggregation Of Revenue — Property Management Service16,276USD0001213900-26-034538
FY 2024Yearly · 2024-12-31ProductDisaggregation Of Revenue — Real Estates Agency Commission781,351USD0001213900-26-034538
FY 2024Yearly · 2024-12-31ProductRevenue From Property Purchases And Sales Through Cash Offer6,568,404USD0001213900-26-034538

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.