marketcaparena

MGRX

MANGOCEUTICALS, INC.

Company overview

Market capitalization
$8.30M
Employees
3
Latest publication
2026-09-29
About MANGOCEUTICALS, INC.

Mangoceuticals, Inc. engages in the development, marketing, and sale of various men's wellness products and services through a telemedicine platform in the United States. The company offers erectile dysfunction products under the Mango brand; hair loss products under the Grow brand; hormone balance and therapy products under the Mojo brand; and weight loss products under the Slim brand. It also provides oral testosterone undecanoate to treat low testosterone in men and as a form of testosterone replacement therapy under the Prime brand; and access for customers to a licensed pharmacy for online fulfillment and distribution of certain medications that may be prescribed as part of telehealth consultations. In addition, the company markets and sells its products online through its website www.MangoRX.com. The company was incorporated in 2021 and is headquartered in Dallas, Texas. Mangoceuticals, Inc. operates as a subsidiary of Cohen Enterprises, Inc.

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 Revenue68,757USD67,864USD94,360USD84,246USD168,109USD109,306USD105,247USD133,368USD
Cost Of Revenue10,437USD38,863USD46,885USD33,347USD78,161USD47,242USD25,144USD50,697USD
Gross Profit44,215USD29,000USD47,475USD50,899USD89,948USD62,064USD80,103USD82,671USD
Selling General Administrative256,095USD1,054,122USD412,327USD311,379USD4,994,148USD3,214,521USD1,596,309USD1,334,415USD
Selling And Marketing Expenses301,445USD94,073USD—104,914USD258,295USD281,732USD145,706USD251,330USD
General And Administrative Expenses256,095USD———————
Total Operating Expenses1,077,255USD3,155,327USD1,584,738USD7,593,825USD5,358,443USD4,915,253USD1,758,000USD1,841,000USD
Operating Income-1,033,040USD-3,126,326USD-1,490,378USD-7,542,926USD-5,268,495USD-4,853,189USD-1,678,000USD-1,758,000USD
Total Other Income Expense Net-279,891USD-276,815USD-1,259,329USD-75,850USD-147,325USD13,700USD-271,000USD-242,000USD
Labor And Related Expense427,298USD———————
Income Before Tax-1,312,931USD-3,403,141USD-2,769,370USD-7,618,776USD-5,415,820USD-4,839,489USD-1,949,000USD-2,000,000USD
Income Tax Expense0USD—————40USD—
Net Income-1,312,931USD-3,403,141USD-2,769,567USD-7,618,218USD-5,415,818USD-4,839,391USD-1,948,000USD-1,999,000USD
Minority Interest-278USD-9USD-197USD558USD2USD98USD244USD461USD
Net Income Applicable To Common Shares-1,606,653USD———————
Unclassified Operating Expenses—2,007,132USD1,172,411USD7,177,532USD—1,419,000USD——
Interest Income—0USD———13,700USD—0USD
Interest Expense—276,815USD19,663USD75,850USD21,700USD13,700USD450,598USD241,620USD
Net Interest Income—-276,815USD-19,663USD-75,850USD-21,700USD13,700USD450,598USD-241,620USD
Tax Provision—0USD0USD0USD0USD0USD0USD0USD
Net Income From Continuing Ops—-3,403,141USD-2,769,370USD-7,618,776USD-5,415,820USD-4,839,489USD-1,948,596USD-1,999,694USD
Ebit—-3,403,141USD—-7,542,926USD-5,394,120USD-4,853,189USD-2,398,788USD-1,758,000USD
Ebitda—-3,126,326USD—-7,518,098USD-4,557,886USD-4,438,197USD-1,677,000USD-1,757,748USD
Depreciation And Amortization—276,815USD—24,828USD836,234USD414,992USD721,788USD252USD
Reconciled Depreciation—291,588USD448,149USD24,828USD836,234USD277,065USD721,788USD252USD
Research Development——————171,861USD188,782USD
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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 Revenue456,021USD615,873USD731,493USD8,939USD—
Cost Of Revenue205,635USD235,909USD299,992USD4,089USD—
Gross Profit250,386USD379,964USD431,501USD4,850USD—
Selling General Administrative15,898,669USD6,419,545USD3,319,417USD1,643,572USD70,080USD
Selling And Marketing Expenses822,860USD1,478,663USD2,097,505USD352,860USD52,560USD
Unclassified Operating Expenses2,683,845USD—4,233,469USD——
Total Operating Expenses19,405,374USD8,352,000USD9,650,391USD1,996,432USD17,520USD
Operating Income-19,154,988USD-7,972,000USD-9,218,890USD-1,991,582USD-17,520USD
Interest Expense103,513USD13,700USD0USD6,473USD181USD
Net Interest Income-103,513USD-13,700USD4,673USD-6,473USD—
Income Before Tax-20,643,455USD-8,707,000USD-9,212,417USD-1,998,055USD-17,701USD
Tax Provision0USD0USD0USD0USD—
Net Income-20,643,455USD-8,706,000USD-9,212,417USD-1,998,055USD-17,701USD
Net Income From Continuing Ops-20,643,455USD-8,707,226USD-7,318,025USD-1,998,055USD—
Ebit-20,539,942USD-8,683,533USD-8,118,425USD-1,991,582USD-17,520USD
Ebitda-18,815,739USD-7,962,000USD-8,093,536USD-1,987,719USD-17,520USD
Depreciation And Amortization1,724,203USD721,533USD24,889USD3,863USD70,080USD
Reconciled Depreciation1,724,203USD731,469USD22,461USD3,863USD—
Total Other Income Expense Net-1,488,467USD-735,000USD6,473USD-6,473USD-181USD
Minority Interest461USD1,081USD0USD——
Income Tax Expense——1USD-224,622USD-70,080USD
Net Income Applicable To Common Shares———-1,998,055USD-70,804USD
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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 Assets14,172,795USD14,449,223USD16,089,573USD16,531,802USD20,842,828USD21,753,857USD15,370,511USD14,792,041USD
Cash And Equivalents228,688USD———————
Total Current Assets245,687USD212,472USD1,547,434USD598,223USD117,961USD176,652USD75,595USD104,067USD
Total Liabilities1,648,969USD———————
Total Current Liabilities1,398,063USD737,606USD890,568USD804,275USD1,600,945USD1,503,196USD1,425,463USD1,391,382USD
Total Stockholder Equity12,525,944USD13,476,185USD15,200,547USD15,729,266USD19,243,064USD20,251,840USD13,946,129USD13,389,329USD
Total Equity Including Noncontrolling Interest12,523,826USD———————
Property Plant Equipment Net280,538USD295,605USD309,655USD13,260USD29,974USD46,330USD62,299USD77,974USD
Intangible Assets13,646,570USD13,941,146USD14,232,484USD15,920,319USD20,694,893USD21,530,875USD15,232,617USD14,610,000USD
Accounts Payable889,733USD529,800USD416,682USD526,964USD767,996USD1,178,180USD837,501USD753,962USD
Short Term Debt28,301USD57,058USD—212,167USD630,117USD47,713USD214,962USD256,840USD
Common Stock1,803USD1,698USD—1,389USD1,065USD715USD325USD213USD
Retained Earnings-45,363,283USD-44,050,630USD-40,647,480USD-37,877,913USD-31,649,804USD-25,939,986USD-20,806,595USD-17,985,966USD
Accumulated Other Comprehensive Income-5,198USD-3,193USD—-2,079USD-2,034USD-2,221USD-9,845USD-1,663USD
Other Current Assets—17,854USD—116,942USD16,942USD100,156USD16,942USD16,942USD
Total Liab—974,571USD890,568USD804,275USD1,600,945USD1,503,196USD1,425,463USD1,403,549USD
Other Current Liab—150,748USD—592,108USD199,859USD277,303USD373,000USD375,000USD
Capital Stock—1,796USD1,687USD1,487USD1,163USD813USD423USD311USD
Cash—174,562USD1,486,338USD481,281USD101,019USD76,496USD58,653USD73,912USD
Cash And Short Term Investments—174,562USD—481,281USD101,019USD76,496USD58,653USD73,912USD
Net Debt—119,461USD—-269,114USD529,098USD-28,783USD156,309USD195,095USD
Short Long Term Debt Total—294,023USD—212,167USD630,117USD47,713USD214,962USD269,007USD
Net Receivables—20,056USD——————
Property Plant Equipment Gross—299,123USD312,923USD16,273USD32,732USD48,836USD64,555USD79,975USD
Common Stock Shares Outstanding—10,071,609shares15,888,795shares11,524,275shares9,983,376shares4,593,063shares3,245,641shares2,013,837shares
Non Current Assets Total—14,236,751USD14,542,139USD15,933,579USD20,724,867USD21,577,205USD15,294,916USD14,687,974USD
Non Current Liabilities Total—236,965USD0USD0USD0USD0USD0USD12,167USD
Net Working Capital—-525,134USD656,866USD-206,052USD-1,482,984USD-1,326,544USD-1,349,868USD-1,287,315USD
Unclassified Equity—57,526,514USD55,846,340USD53,606,382USD50,892,674USD46,192,519USD34,761,821USD31,376,434USD
Short Long Term Debt———100,000USD600,000USD—150,000USD187,500USD
Inventory—————0USD0USD13,213USD
Non Currrent Assets Other———————-250,000USD
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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 Assets16,089,573USD15,370,511USD1,050,793USD1,003,287USD22,550USD
Intangible Assets14,232,484USD15,232,617USD———
Other Current Assets61,096USD16,942USD60,953USD11,745USD—
Total Liab890,568USD1,425,463USD276,039USD389,257USD39,270USD
Total Stockholder Equity15,200,547USD13,946,129USD774,754USD614,030USD-16,720USD
Other Current Liab582,745USD373,000USD-63,718USD-33,675USD—
Common Stock1,589USD325USD2,142USD1,337USD800USD
Capital Stock1,687USD423USD2,142USD1,337USD800USD
Retained Earnings-40,647,480USD-20,806,595USD-11,228,173USD-2,015,756USD-17,701USD
Cash1,486,338USD58,653USD739,006USD682,860USD22,550USD
Cash And Short Term Investments1,486,338USD58,653USD739,006USD682,860USD22,550USD
Total Current Assets1,547,434USD75,595USD818,460USD694,605USD22,550USD
Total Current Liabilities890,568USD1,425,463USD211,078USD260,577USD39,270USD
Net Debt-1,178,515USD156,309USD-610,327USD-329,995USD16,720USD
Short Term Debt307,823USD214,962USD63,718USD224,185USD39,270USD
Short Long Term Debt Total307,823USD214,962USD128,679USD352,865USD39,270USD
Accounts Payable416,682USD837,501USD140,765USD33,675USD—
Property Plant Equipment Net309,655USD62,299USD215,391USD291,740USD0USD
Property Plant Equipment Gross312,923USD64,555USD244,143USD295,603USD0USD
Accumulated Other Comprehensive Income-2,760USD-9,845USD—0USD0USD
Common Stock Shares Outstanding10,071,609shares1,978,966shares1,074,000shares1,154,333shares997,666shares
Non Current Assets Total14,542,139USD15,294,916USD232,333USD308,682USD0USD
Non Current Liabilities Total0USD0USD64,961USD128,680USD0USD
Net Working Capital656,866USD-1,349,868USD607,382USD434,028USD-16,720USD
Unclassified Equity55,847,511USD34,761,821USD11,998,643USD2,627,112USD—
Short Long Term Debt—150,000USD—167,460USD39,270USD
Inventory—0USD18,501USD0USD—
Net Receivables——0USD——
Non Currrent Assets Other——16,942USD16,942USD—
Other Assets———16,942USD—
Net Tangible Assets———614,030USD-16,720USD
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Cash flow YTD

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USD
Depreciation557,208USD
Stock Based Compensation1,102,531USD
Change To Liabilities463,862USD
Change In Working Capital461,075USD
Operating Cash Flow-1,571,849USD
Financing Cash Flow316,944USD
Effect Of Forex Changes On Cash-2,745USD
Change In Cash-1,257,650USD
End Cash Flow228,688USD
SourceDisclosureDeterministicFinal

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-3,403,141USD-2,769,567USD-7,618,218USD-5,415,820USD-4,839,489USD-1,948,596USD-1,999,694USD-2,390,979USD
Depreciation277,065USD448,149USD301,473USD836,234USD414,992USD721,788USD-28,754USD3,205USD
Stock Based Compensation1,090,114USD-33,471USD105,293USD50,979USD1,045,479USD50,979USD108,758USD50,980USD
Other Non Cash Items724,619USD80,257USD6,507,775USD3,191,195USD959,719USD-7,872USD744,584USD1,049,125USD
Change In Working Capital-62,655USD-62,655USD-432,294USD80,963USD144,518USD54,126USD9,272USD-289,567USD
Total Cash From Operating Activities-1,311,343USD-1,077,761USD-1,241,264USD-1,256,449USD-2,274,781USD-1,129,575USD-1,165,834USD-1,577,236USD
Capital Expenditures-4USD0USD-4USD0USD0USD0USD-4USD-4USD
Free Cash Flow-1,311,343USD-1,077,761USD-1,241,260USD-1,256,449USD-2,274,781USD-1,129,575USD-1,165,834USD-1,577,240USD
Total Cash From Financing Activities2,083,499USD2,083,499USD1,621,571USD1,280,785USD2,285,000USD1,122,498USD750,000USD1,988,270USD
Dividends Paid-588,000USD—-588,000USD-588,000USD—-802,109USD——
Issuance Of Capital Stock0USD2,214,999USD1,324,571USD-619,215USD1,805,000USD1,159,998USD750,000USD1,888,270USD
Change In Cash1,005,057USD1,005,738USD380,262USD24,523USD17,843USD-15,259USD-416,331USD474,938USD
Begin Period Cash Flow1,486,338USD481,281USD101,019USD76,496USD58,653USD73,912USD490,243USD15,305USD
End Period Cash Flow1,486,338USD1,486,338USD481,281USD101,019USD76,496USD58,653USD73,912USD490,243USD
Other Cashflows From Financing Activities1,030,500USD—2,209,571USD838,000USD3,435,000USD1,202,109USD750,000USD1,500,000USD
Unclassified Financing Cash Flow1,640,999USD—-1,324,571USD1,050,000USD-2,955,000USD——-1,400,000USD
Net Borrowings—-131,500USD0USD600,000USD0USD-37,500USD0USD—
Unclassified Operating Cash Flow—1,259,526USD——————
Change To Inventory——0USD0USD0USD-5,288USD806USD433USD
Investments——0USD——0USD0USD65,000USD
Other Cashflows From Investing Activities——————65,000USD65,000USD
Total Cashflows From Investing Activities———————65,000USD
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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
Net Income-20,643,455USD-8,707,226USD-9,212,417USD-1,998,055USD-17,701USD
Depreciation1,123,651USD731,469USD24,889USD3,863USD3,863USD
Stock Based Compensation1,168,280USD248,682USD624,463USD234,088USD—
Other Non Cash Items11,530,795USD2,202,922USD1,524,178USD546,538USD181USD
Change To Account Receivables-20,056USD—54,979USD——
Change In Working Capital970,474USD660,377USD41,512USD18,869USD0USD
Total Cash From Operating Activities-5,850,255USD-4,863,776USD-6,997,375USD-1,346,518USD-17,520USD
Capital Expenditures-5USD0USD-3,519USD-43,102USD-43,102USD
Free Cash Flow-5,850,255USD-4,863,776USD-7,000,894USD-1,389,620USD-17,520USD
Net Borrowings468,500USD150,000USD-167,460USD49,930USD157,080USD
Total Cash From Financing Activities7,270,855USD4,128,268USD7,057,040USD2,049,930USD40,070USD
Issuance Of Capital Stock4,725,355USD3,978,268USD5,499,500USD2,000,000USD—
Change In Cash1,427,685USD-680,353USD56,146USD660,310USD22,550USD
Begin Period Cash Flow58,653USD739,006USD682,860USD22,550USD—
End Period Cash Flow1,486,338USD58,653USD739,006USD682,860USD22,550USD
Other Cashflows From Financing Activities1,150,000USD3,452,109USD1,024,500USD-43,102USD160,280USD
Change To Inventory—18,501USD-18,501USD0USD—
Investments—65,000USD-44,090USD-43,102USD—
Total Cashflows From Investing Activities—65,000USD-3,519USD-43,102USD-43,102USD
Dividends Paid—-802,109USD———
Other Cashflows From Investing Activities—65,000USD———
Unclassified Financing Cash Flow—-2,650,000USD———
Change To Liabilities———33,675USD0USD
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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.