marketcaparena

NOMA

Nomadar Corp.

Company overview

Market capitalization
$25.14M
Employees
8
Latest publication
2026-09-29
About Nomadar Corp.

Nomadar Corp., a sport technology business, focuses on developing and operating sport technology platforms. It provides high performance training programs for young athletes in soccer programs. The company also operates the Mirandilla Stadium and holds trademark rights to the Mágico González brand. It serves professional sports teams, athletes, coaches, recreational sports enthusiasts, and end user customers. The company was formerly known as Sportech City USA, Corp. and changed its name to Nomadar Corp. in December 2023. The company was incorporated in 2023 and is based in Marshall, Texas. Nomadar Corp. operates as a subsidiary of Sport City Cádiz S.L.

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 Revenue669,571USD403,800USD44,271USD378,099USD312,633USD186,937USD8,025USD0USD
Cost Of Revenue70,475USD47,856USD101,170USD72,594USD94,706USD176,388USD—0USD
Gross Profit599,096USD355,944USD-56,899USD305,505USD217,927USD10,549USD8,025USD0USD
Selling General Administrative304,069USD1,062,311USD968,090USD608,083USD504,560USD299,456USD485,260USD498,484USD
Selling And Marketing Expenses150,030USD48,333USD——————
General And Administrative Expenses304,069USD———————
Total Operating Expenses823,142USD1,110,644USD1,827,425USD597,330USD447,012USD296,820USD491,687USD498,484USD
Operating Income-224,046USD-754,700USD-1,884,324USD-291,825USD-229,085USD-286,271USD-483,662USD-498,484USD
Total Other Income Expense Net-215,895USD-832,254USD527,292USD-204,384USD-393,673USD-5,048USD-4,265USD-1,929USD
Interest Income121,500USD69,363USD62,691USD60,351USD—0USD—0USD
Interest Expense23,529USD158,374USD57,936USD22,274USD7,530USD5,048USD4,265USD1,929USD
Income Before Tax-439,941USD-1,586,954USD-1,357,032USD-496,209USD-622,758USD-291,319USD-487,927USD-500,413USD
Income Tax Expense0USD———————
Net Income-439,941USD-1,586,954USD-1,357,032USD-496,209USD-622,758USD-291,319USD-487,927USD-500,413USD
Net Interest Income—-186,982USD-271,620USD-1,923USD-35,735USD-5,048USD-4,265USD-1,929USD
Tax Provision—0USD0USD0USD0USD0USD0USD0USD
Net Income From Continuing Ops—-1,586,954USD-1,357,032USD-496,209USD-622,758USD-291,319USD-487,927USD-500,413USD
Ebitda—-1,428,580USD-1,316,071USD-473,935USD-615,228USD-286,271USD-483,662USD-498,484USD
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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 · USD
Total Revenue921,940USD8,025USD
Cost Of Revenue444,858USD6,318USD
Gross Profit477,082USD1,707USD
Selling General Administrative444,009USD1,366,959USD
Unclassified Operating Expenses2,724,578USD—
Total Operating Expenses3,168,587USD1,367,068USD
Operating Income-2,691,505USD-1,365,361USD
Interest Income134,837USD0USD
Interest Expense92,788USD7,630USD
Net Interest Income-453,520USD-7,630USD
Income Before Tax-2,767,318USD-1,372,991USD
Tax Provision0USD0USD
Net Income-2,767,318USD-1,372,991USD
Net Income From Continuing Ops-2,767,318USD-1,372,991USD
Ebitda-2,691,505USD-1,365,361USD
Total Other Income Expense Net-75,813USD-7,630USD
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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 Assets18,833,356USD19,109,530USD14,090,905USD10,518,434USD8,971,849USD26,859USD16,657USD316USD
Total Current Assets5,765,404USD2,664,458USD276,169USD289,100USD195,192USD26,859USD16,657USD316USD
Other Current Assets498,908USD128,162USD12,805USD25,327USD9,122USD———
Total Liabilities5,124,217USD———————
Total Current Liabilities5,124,217USD7,397,974USD4,184,441USD4,460,835USD2,275,851USD1,212,408USD889,691USD699,892USD
Other Current Liabilities269,439USD———————
Total Stockholder Equity13,709,139USD11,711,556USD7,188,118USD5,412,605USD5,908,814USD-1,653,017USD-1,361,698USD-873,771USD
Total Equity Including Noncontrolling Interest13,709,139USD———————
Deferred Revenue676,084USD———————
Net Receivables290,329USD574,236USD185,201USD199,233USD0USD0USD16,240USD—
Property Plant Equipment Net10,817,743USD10,106,181USD5,166,888USD———0USD—
Accounts Payable1,405,696USD1,555,952USD1,453,995USD1,831,931USD1,373,467USD1,135,738USD599,716USD561,800USD
Retained Earnings-6,206,766USD-5,766,825USD-4,179,871USD-2,822,839USD-2,326,630USD-1,703,872USD-1,412,553USD-924,626USD
Total Liab—7,397,974USD6,902,787USD5,105,829USD3,063,035USD1,679,876USD1,378,355USD874,087USD
Other Current Liab—1,449,182USD903,298USD1,506,821USD369,446USD68,346USD281,651USD138,092USD
Common Stock—17USD15USD15USD15USD15USD15USD15USD
Capital Stock—17USD15USD15USD15USD15USD15USD15USD
Cash—1,962,060USD78,163USD64,540USD186,070USD26,859USD417USD316USD
Cash And Short Term Investments—1,962,060USD78,163USD64,540USD186,070USD26,859USD417USD316USD
Current Deferred Revenue—772,043USD164,558USD25,878USD—8,324USD8,324USD—
Net Debt—1,658,737USD3,490,989USD1,031,665USD510,931USD440,609USD488,247USD173,879USD
Short Term Debt—3,620,797USD1,662,590USD1,096,205USD532,938USD———
Short Long Term Debt—1,866,013USD1,646,663USD1,096,205USD532,938USD———
Short Long Term Debt Total—3,620,797USD3,569,152USD1,096,205USD697,000USD467,468USD488,664USD174,195USD
Property Plant Equipment Gross—10,106,181USD5,166,888USD———0USD—
Common Stock Shares Outstanding—15,448,692shares14,559,162shares15,768,718shares15,768,718shares13,268,718shares13,268,718shares15,768,718shares
Non Current Assets Total—16,445,072USD13,814,736USD10,229,334USD8,776,657USD0USD0USD0USD
Non Current Liabilities Total—0USD2,718,346USD644,994USD787,184USD467,468USD488,664USD174,195USD
Non Currrent Assets Other—6,338,891USD13,814,736USD10,229,334USD8,776,657USD———
Net Working Capital—-4,733,516USD-3,908,272USD-4,171,735USD-2,080,659USD-1,185,549USD-873,034USD-699,576USD
Unclassified Current Liabilities—-1,866,013USD-1,646,663USD-1,096,205USD————
Unclassified Equity—17,478,347USD11,367,959USD8,235,414USD8,235,414USD———
Unclassified Non Current Assets——-5,166,888USD—————
Unclassified Non Current Liabilities——2,718,346USD—————
Long Term Debt————164,063USD467,468USD488,664USD174,195USD
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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 · USD
Total Assets14,090,905USD16,657USD14,630USD
Other Current Assets12,805USD——
Total Liab6,902,787USD1,378,355USD35,937USD
Total Stockholder Equity7,188,118USD-1,361,698USD-21,307USD
Other Current Liab903,298USD281,651USD—
Common Stock15USD15USD—
Capital Stock15USD15USD29USD
Retained Earnings-4,179,871USD-1,412,553USD-39,562USD
Cash78,163USD417USD14,630USD
Cash And Short Term Investments78,163USD417USD—
Total Current Assets276,169USD16,657USD14,630USD
Total Current Liabilities4,184,441USD889,691USD742USD
Current Deferred Revenue164,558USD8,324USD—
Net Debt3,490,989USD488,247USD20,565USD
Short Term Debt1,662,590USD——
Short Long Term Debt1,646,663USD——
Short Long Term Debt Total3,569,152USD488,664USD—
Net Receivables185,201USD16,240USD0USD
Accounts Payable1,453,995USD599,716USD0USD
Property Plant Equipment Net5,166,888USD0USD—
Property Plant Equipment Gross5,166,888USD0USD—
Common Stock Shares Outstanding14,559,162shares13,268,718shares13,268,718shares
Non Current Assets Total13,814,736USD0USD0USD
Non Current Liabilities Total2,718,346USD488,664USD35,195USD
Non Currrent Assets Other13,814,736USD——
Net Working Capital-3,908,272USD-873,034USD13,888USD
Unclassified Non Current Assets-5,166,888USD——
Unclassified Current Liabilities-1,646,663USD——
Unclassified Non Current Liabilities2,718,346USD——
Unclassified Equity11,367,959USD——
Long Term Debt—488,664USD35,195USD
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Cash flow YTD

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20262026-06-30 · USD
Depreciation356USD
Change To Account Receivables-105,128USD
Change To Liabilities-48,299USD
Change In Working Capital-128,004USD
Operating Cash Flow-756,691USD
Capital Expenditures-3,972USD
Unclassified Investing Cash Flow810,508USD
Investing Cash Flow806,536USD
Net Debt Issuance-862,467USD
Unclassified Financing Cash Flow1,173,037USD
Financing Cash Flow310,570USD
Change In Cash360,415USD
End Cash Flow438,578USD
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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 · USD
Net Income-1,586,954USD-1,357,032USD-496,209USD-622,758USD-291,319USD-487,927USD-500,414USD
Other Non Cash Items869,601USD-742,961USD257,434USD323,390USD———
Change To Account Receivables-458,398USD67,719USD-259,584USD-11,795USD16,240USD—0USD
Change In Working Capital536,654USD2,113,583USD-1,316,341USD305,816USD338,957USD173,559USD493,834USD
Total Cash From Operating Activities-180,699USD563,590USD-1,555,116USD6,448USD47,638USD-314,368USD-6,580USD
Capital Expenditures-2,890USD0USD0USD0USD0USD0USD0USD
Free Cash Flow-183,589USD563,590USD-1,555,116USD6,448USD47,638USD-314,368USD-6,580USD
Total Cashflows From Investing Activities2,125,333USD——————
Net Borrowings-4,976,876USD-1,469,722USD295,937USD156,595USD-21,196USD314,469USD1USD
Total Cash From Financing Activities-60,737USD-549,967USD1,433,586USD152,763USD-21,196USD314,469USD203USD
Issuance Of Capital Stock5,708,535USD919,754USD1,137,649USD203,772USD0USD0USD202USD
Change In Cash1,883,897USD13,623USD-121,530USD159,211USD26,442USD101USD-6,377USD
Begin Period Cash Flow78,163USD64,540USD186,070USD26,859USD417USD316USD6,693USD
End Period Cash Flow1,962,060USD78,163USD64,540USD186,070USD26,859USD417USD316USD
Other Cashflows From Investing Activities2,128,223USD——————
Other Cashflows From Financing Activities-792,396USD-3,280,461USD—-207,604USD———
Stock Based Compensation—550,000USD—————
Unclassified Financing Cash Flow—3,280,462USD—————
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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 · USD
Net Income-2,767,318USD-1,372,991USD
Stock Based Compensation550,000USD0USD
Other Non Cash Items-162,137USD—
Change To Account Receivables-187,420USD-16,240USD
Change In Working Capital1,442,015USD872,709USD
Total Cash From Operating Activities-937,440USD-500,282USD
Capital Expenditures0USD0USD
Free Cash Flow-937,440USD-500,282USD
Net Borrowings-1,038,386USD453,469USD
Total Cash From Financing Activities1,015,186USD486,069USD
Issuance Of Capital Stock2,261,175USD32,600USD
Change In Cash77,746USD-14,213USD
Begin Period Cash Flow417USD14,630USD
End Period Cash Flow78,163USD417USD
Other Cashflows From Financing Activities-3,488,065USD—
Unclassified Financing Cash Flow3,280,462USD—
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

PeriodDimensionBusiness / regionRevenueCurrencySource
Q1 2026Quarterly · 2026-03-31ProductBrand Revenue52,500USD0001493152-26-023746
Q1 2026Quarterly · 2026-03-31ProductEducational Service Revenue253,725USD0001493152-26-023746
Q1 2026Quarterly · 2026-03-31ProductMagico Gonzalez Brand52,500USD0001493152-26-023746
Q1 2026Quarterly · 2026-03-31ProductOther45,075USD0001493152-26-023746

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.