VTIX
Virtuix Holdings Inc.
Company overview
- Market capitalization
- $40.97M
- Employees
- 39
- Latest publication
- 2026-09-29
About Virtuix Holdings Inc.
Virtuix Holdings Inc., through its subsidiaries, develops and manufactures virtual reality (VR) hardware and software. The company offers Omni Pro, a commercial-grade treadmill for enterprise use; Omni Arena, a turnkey attraction for out-of-home entertainment industry; Omni One that provides full-body movement with immersive VR gaming and fitness; and Virtual Terrain Walk (VTW) is multi-user system for next-generation mission planning in the defense industry. In addition, it sells its products online. The company was incorporated in 2013 and is based in Austin, Texas.
Financial statements
Income Quarterly
| Metric | Q1 20262026-06-30 · USD | Q3 20262025-12-31 · USD | Q2 20262025-09-30 · USD | Q2 20252024-09-30 · USD | Q1 20252024-06-30 · USD |
|---|---|---|---|---|---|
| Total Revenue | 767,300USD | 963,817USD | 984,812USD | 522,878USD | 323,889USD |
| Cost Of Revenue | 540,142USD | 674,396USD | 577,263USD | 837,108USD | 345,844USD |
| Gross Profit | 227,158USD | 289,421USD | 407,549USD | -314,230USD | -21,955USD |
| Research Development | 309,375USD | 226,574USD | 189,469USD | 888,226USD | 811,858USD |
| Selling General Administrative | 3,080,778USD | 1,172,329USD | 1,407,057USD | 1,068,742USD | 5,867,174USD |
| General And Administrative Expenses | 3,080,778USD | — | — | — | — |
| Total Operating Expenses | 4,129,131USD | 2,132,565USD | 1,942,317USD | 2,419,373USD | 7,122,864USD |
| Operating Income | -3,901,973USD | -1,843,144USD | -1,534,768USD | -2,733,603USD | -7,144,819USD |
| Total Other Income Expense Net | -3,219,202USD | -865,170USD | -318,682USD | -107,854USD | -24,876USD |
| Interest Income | 163USD | 272USD | 114USD | 186USD | 270USD |
| Interest Expense | 2,539,592USD | 870,717USD | 318,966USD | 93,588USD | 22,034USD |
| Income Before Tax | -7,121,175USD | -2,708,314USD | -1,853,450USD | -2,841,457USD | -7,169,695USD |
| Income Tax Expense | 49,391USD | 22,630USD | 753USD | 10,934USD | 31,369USD |
| Equity Method Income Loss | 0USD | — | — | — | — |
| Net Income | -7,170,566USD | -2,730,944USD | -1,854,203USD | -2,852,391USD | -7,201,064USD |
| Selling And Marketing Expenses | — | 733,662USD | 345,791USD | 462,405USD | 443,832USD |
| Net Interest Income | — | -870,445USD | -318,852USD | -93,402USD | -21,764USD |
| Tax Provision | — | 22,630USD | 753USD | 10,934USD | 31,369USD |
| Net Income From Continuing Ops | — | -2,730,944USD | -1,854,203USD | -2,852,391USD | -7,201,064USD |
| Ebit | — | -1,837,597USD | -1,534,484USD | -2,747,869USD | -7,147,661USD |
| Ebitda | — | -1,686,292USD | -1,377,478USD | -2,633,302USD | -7,087,440USD |
| Depreciation And Amortization | — | 151,305USD | 157,006USD | 114,567USD | 60,221USD |
| Reconciled Depreciation | — | 151,305USD | 157,006USD | 114,567USD | 60,221USD |
| Source | DisclosureDeterministicAmendment | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy |
Income Yearly
| Metric | FY 20262026-03-31 · USD |
|---|---|
| Total Revenue | 4,252,643USD |
| Cost Of Revenue | 3,206,021USD |
| Gross Profit | 1,046,622USD |
| Research Development | 845,994USD |
| General And Administrative Expenses | 7,940,232USD |
| Total Operating Expenses | 11,365,974USD |
| Operating Income | -10,319,352USD |
| Total Other Income Expense Net | -6,354,643USD |
| Interest Income | 605USD |
| Interest Expense | 3,543,037USD |
| Income Before Tax | -16,673,995USD |
| Income Tax Expense | 125,258USD |
| Net Income | -16,799,253USD |
| Source | DisclosureDeterministicFinal |
Balance sheet Quarterly
| Metric | Q1 20262026-06-30 · USD | Q4 20262026-03-31 · USD | Q3 20262025-12-31 · USD | Q2 20262025-09-30 · USD | Q4 20252025-03-31 · USD | Q3 20252024-12-31 · USD | Q2 20252024-09-30 · USD | Q1 20252024-06-30 · USD |
|---|---|---|---|---|---|---|---|---|
| Total Assets | 12,580,486USD | 14,761,370USD | 6,355,674USD | 5,679,085USD | 5,775,023USD | — | — | — |
| Total Current Assets | 10,047,173USD | 11,936,309USD | 3,025,543USD | 2,542,443USD | 2,365,982USD | — | — | — |
| Other Current Assets | 764,516USD | 897,109USD | 240,023USD | 553,988USD | 247,280USD | — | — | — |
| Other Non Current Assets | 50,975USD | 87,264USD | — | — | — | — | — | — |
| Total Liabilities | 15,660,981USD | 11,713,267USD | — | — | — | — | — | — |
| Total Current Liabilities | 14,153,546USD | 8,768,103USD | 8,744,656USD | 6,061,113USD | 5,913,534USD | — | — | — |
| Other Current Liabilities | 588,772USD | 559,517USD | — | — | — | — | — | — |
| Total Stockholder Equity | -3,080,495USD | 3,048,103USD | -2,952,826USD | -992,512USD | -794,035USD | — | — | — |
| Total Equity Including Noncontrolling Interest | -3,080,495USD | 3,048,103USD | — | — | — | — | — | — |
| Deferred Revenue | 639,551USD | 666,327USD | — | — | — | — | — | — |
| Inventory | 1,373,385USD | 1,188,623USD | 1,380,265USD | 1,132,783USD | 1,456,249USD | — | — | — |
| Property Plant Equipment Net | 1,049,714USD | 1,157,824USD | 1,134,225USD | 1,156,628USD | 1,300,391USD | — | — | — |
| Accounts Payable | 662,290USD | 721,792USD | 1,275,992USD | 1,137,466USD | 807,401USD | — | — | — |
| Short Term Debt | 256,966USD | 286,702USD | 5,463,043USD | 2,930,887USD | 2,794,576USD | — | — | — |
| Retained Earnings | -86,517,001USD | -79,291,843USD | -69,384,892USD | -66,653,948USD | -62,492,590USD | — | — | — |
| Cash And Equivalents | — | 9,471,288USD | — | — | — | — | — | — |
| Long Term Debt | — | 23,517USD | 23,661USD | 23,805USD | 24,087USD | — | — | — |
| Intangible Assets | — | — | 1,648,131USD | 1,754,247USD | 1,981,703USD | — | — | — |
| Total Liab | — | — | 9,308,500USD | 6,671,597USD | 6,569,058USD | — | — | — |
| Other Current Liab | — | — | 1,278,355USD | 1,254,562USD | 542,000USD | — | — | — |
| Common Stock | — | — | 30,852USD | 30,772USD | 8,259USD | — | — | — |
| Capital Stock | — | — | 30,852USD | 30,772USD | 29,947USD | — | — | — |
| Cash | — | — | 1,074,638USD | 564,567USD | 477,908USD | — | — | — |
| Cash And Short Term Investments | — | — | 1,074,638USD | 564,567USD | 477,908USD | — | — | — |
| Current Deferred Revenue | — | — | 727,266USD | 738,198USD | 1,769,556USD | — | — | — |
| Net Debt | — | — | 4,952,249USD | 2,976,804USD | 2,972,192USD | — | — | — |
| Short Long Term Debt | — | — | 5,287,623USD | 2,760,095USD | 2,590,525USD | — | — | — |
| Short Long Term Debt Total | — | — | 6,026,887USD | 3,541,371USD | 3,450,100USD | — | — | — |
| Long Term Investments | — | — | 40,619USD | 40,619USD | 40,689USD | — | — | — |
| Net Receivables | — | — | 330,617USD | 291,105USD | 184,545USD | — | — | — |
| Property Plant Equipment Gross | — | — | 2,122,576USD | 2,099,790USD | 2,157,419USD | — | — | — |
| Common Stock Shares Outstanding | — | — | 31,849,447shares | 30,852,457shares | 31,849,447shares | 31,849,447shares | 30,852,457shares | 29,004,314shares |
| Non Current Assets Total | — | — | 3,330,130USD | 3,136,642USD | 3,409,041USD | — | — | — |
| Non Current Liabilities Total | — | — | 563,843USD | 610,484USD | 655,524USD | — | — | — |
| Non Currrent Assets Other | — | — | 507,155USD | 185,148USD | 86,258USD | — | — | — |
| Net Working Capital | — | — | -5,337,940USD | -3,518,670USD | -3,547,552USD | — | — | — |
| Unclassified Current Liabilities | — | — | -5,287,623USD | -2,760,095USD | -2,590,524USD | — | — | — |
| Unclassified Equity | — | — | 66,370,362USD | 65,599,892USD | 61,660,349USD | — | — | — |
| Source | DisclosureDeterministicAmendment | DisclosureDeterministicFinal | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy |
Balance sheet Yearly
| Metric | FY 20262026-03-31 · USD | FY 20252025-03-31 · USD | FY 20242024-03-31 · USD |
|---|---|---|---|
| Total Assets | 14,761,370USD | 5,775,023USD | 4,842,312USD |
| Cash And Equivalents | 9,471,288USD | — | — |
| Total Current Assets | 11,936,309USD | 2,365,982USD | 1,948,828USD |
| Other Current Assets | 897,109USD | 247,280USD | 522,361USD |
| Other Non Current Assets | 87,264USD | — | — |
| Total Liabilities | 11,713,267USD | — | — |
| Total Current Liabilities | 8,768,103USD | 5,913,534USD | 3,122,510USD |
| Other Current Liabilities | 559,517USD | — | — |
| Total Stockholder Equity | 3,048,103USD | -794,035USD | 1,398,861USD |
| Total Equity Including Noncontrolling Interest | 3,048,103USD | — | — |
| Long Term Debt | 23,517USD | 24,087USD | 247,221USD |
| Deferred Revenue | 666,327USD | — | — |
| Inventory | 1,188,623USD | 1,456,249USD | 970,490USD |
| Property Plant Equipment Net | 1,157,824USD | 1,300,391USD | 818,560USD |
| Accounts Payable | 721,792USD | 807,401USD | 396,778USD |
| Short Term Debt | 286,702USD | 2,794,576USD | 620,492USD |
| Retained Earnings | -79,291,843USD | -62,492,590USD | -47,843,798USD |
| Intangible Assets | — | 1,981,703USD | 1,939,683USD |
| Total Liab | — | 6,569,058USD | 3,443,451USD |
| Other Current Liab | — | 542,000USD | 254,898USD |
| Common Stock | — | 8,259USD | 8,250USD |
| Capital Stock | — | 29,947USD | 28,476USD |
| Cash | — | 477,908USD | 270,029USD |
| Cash And Short Term Investments | — | 477,908USD | 270,029USD |
| Current Deferred Revenue | — | 1,769,556USD | 1,850,342USD |
| Net Debt | — | 2,972,192USD | 671,404USD |
| Short Long Term Debt | — | 2,590,525USD | 397,775USD |
| Short Long Term Debt Total | — | 3,450,100USD | 941,433USD |
| Long Term Investments | — | 40,689USD | 55,637USD |
| Net Receivables | — | 184,545USD | 185,948USD |
| Property Plant Equipment Gross | — | 2,157,419USD | 1,631,549USD |
| Common Stock Shares Outstanding | — | 29,462,513shares | 25,778,213shares |
| Non Current Assets Total | — | 3,409,041USD | 2,893,484USD |
| Non Current Liabilities Total | — | 655,524USD | 320,941USD |
| Non Currrent Assets Other | — | 86,258USD | 79,604USD |
| Net Working Capital | — | -3,547,552USD | -1,173,682USD |
| Unclassified Current Liabilities | — | -2,590,524USD | — |
| Unclassified Equity | — | 61,660,349USD | 48,210,415USD |
| Accumulated Other Comprehensive Income | — | — | 995,518USD |
| Source | DisclosureDeterministicFinal | Legacy providerLegacy | Legacy providerLegacy |
Cash flow Quarterly
| Metric | Q1 20262026-06-30 · USD | Q4 20262026-03-31 · USD | Q3 20262025-12-31 · USD | Q2 20262025-09-30 · USD | Q4 20252025-03-31 · USD | Q3 20252024-12-31 · USD | Q2 20252024-09-30 · USD | Q1 20252024-06-30 · USD |
|---|---|---|---|---|---|---|---|---|
| Depreciation | 142,953USD | 158,900USD | 151,305USD | 157,006USD | 152,549USD | 155,052USD | 114,567USD | 60,221USD |
| Stock Based Compensation | 619,857USD | 1,408,368USD | 52,107USD | 205,588USD | 1,176,726USD | 9,714USD | 10,638USD | 4,663,617USD |
| Other Non Cash Items | -431,224USD | 4,725,462USD | 741,999USD | 211,326USD | 1,139,364USD | -4,193USD | -11,593USD | 65,622USD |
| Change To Account Receivables | -92,208USD | -196,913USD | 6,002USD | -82,635USD | 31,293USD | 8,151USD | -26,616USD | -90,921USD |
| Change To Inventory | -184,762USD | 191,642USD | -247,482USD | 30,909USD | 548,513USD | 285,259USD | -374,686USD | -944,845USD |
| Change To Liabilities | 127,125USD | — | — | — | — | — | — | — |
| Change In Working Capital | -167,590USD | -354,365USD | -113,572USD | -843,939USD | -214,758USD | 677,188USD | 323,963USD | -381,700USD |
| Operating Cash Flow | -3,294,829USD | — | — | — | — | — | — | — |
| Capital Expenditures | -6,298USD | -9,811USD | -64,655USD | -19,084USD | -2,823USD | -2,948USD | -236,585USD | -224,833USD |
| Unclassified Investing Cash Flow | -4,949USD | — | — | — | — | — | — | — |
| Investing Cash Flow | -11,247USD | — | — | — | — | — | — | — |
| Net Debt Issuance | -140USD | — | — | — | — | — | — | — |
| Unclassified Financing Cash Flow | 1,278,797USD | 7,007,791USD | — | — | -2,949,429USD | 2,137,898USD | -4,644,750USD | 4,644,750USD |
| Financing Cash Flow | 1,278,657USD | — | — | — | — | — | — | — |
| Change In Cash | -2,027,419USD | 8,396,650USD | 510,071USD | -19,227USD | 477,908USD | 778,334USD | -40,809USD | 479,253USD |
| End Cash Flow | 7,443,869USD | — | — | — | — | — | — | — |
| Net Income | — | -9,906,951USD | -2,730,944USD | -1,854,203USD | -2,624,724USD | -1,970,613USD | -2,852,391USD | -7,201,064USD |
| Total Cash From Operating Activities | — | -3,968,586USD | -1,899,105USD | -2,124,222USD | -1,547,569USD | -1,134,563USD | -2,414,816USD | -2,793,304USD |
| Free Cash Flow | — | -3,978,397USD | -1,963,760USD | -2,143,306USD | -1,547,570USD | -1,137,511USD | -2,651,401USD | -3,018,137USD |
| Total Cashflows From Investing Activities | — | -9,811USD | -64,654USD | -19,084USD | -2,823USD | — | -236,585USD | -224,833USD |
| Net Borrowings | — | 5,389,054USD | 2,515,353USD | 1,667,669USD | -107,883USD | -222,053USD | 2,383,808USD | -97,983USD |
| Total Cash From Financing Activities | — | 12,375,047USD | 2,473,830USD | 2,124,079USD | 541,493USD | 1,915,845USD | 2,610,592USD | 3,497,390USD |
| Sale Purchase Of Stock | — | 0USD | 0USD | 0USD | 0USD | 0USD | 0USD | -2,750USD |
| Issuance Of Capital Stock | — | 0USD | 0USD | 451,479USD | 609,371USD | 2,139,680USD | -4,394,750USD | 4,644,750USD |
| Begin Period Cash Flow | — | 1,074,638USD | 564,567USD | 583,794USD | 1,486,807USD | 708,473USD | 749,282USD | 270,029USD |
| End Period Cash Flow | — | 9,471,288USD | 1,074,638USD | 564,567USD | 477,908USD | 1,486,807USD | 708,473USD | 749,282USD |
| Other Cashflows From Investing Activities | — | 2,192USD | — | — | — | — | -165,545USD | -185,671USD |
| Other Cashflows From Financing Activities | — | -21,798USD | -42,098USD | 454,030USD | 3,598,805USD | — | 4,871,534USD | -1,046,627USD |
| Unclassified Operating Cash Flow | — | — | — | — | -1,176,726USD | — | — | — |
| Source | DisclosureDeterministicAmendment | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy | Legacy providerLegacy |
Cash flow Yearly
| Metric | FY 20262026-03-31 · USD | FY 20252025-03-31 · USD | FY 20242024-03-31 · USD |
|---|---|---|---|
| Net Income | -16,799,253USD | -14,648,792USD | -12,401,393USD |
| Depreciation | 625,987USD | 482,389USD | 147,938USD |
| Stock Based Compensation | 441,951USD | 5,860,695USD | 4,688,298USD |
| Unclassified Operating Cash Flow | 6,963,648USD | — | — |
| Change To Account Receivables | -326,768USD | -78,093USD | 96,553USD |
| Change To Inventory | 267,626USD | -485,759USD | 147,759USD |
| Change To Liabilities | 459,270USD | — | — |
| Change In Working Capital | -736,713USD | 404,693USD | 752,294USD |
| Operating Cash Flow | -9,504,380USD | — | — |
| Investing Cash Flow | -97,045USD | — | — |
| Net Debt Issuance | -549USD | — | — |
| Unclassified Financing Cash Flow | 18,595,354USD | — | — |
| Financing Cash Flow | 18,594,805USD | — | — |
| Change In Cash | 8,993,380USD | 207,879USD | -1,999,216USD |
| End Cash Flow | 9,471,288USD | — | — |
| Other Non Cash Items | — | 10,763USD | 85,307USD |
| Total Cash From Operating Activities | — | -7,890,252USD | -6,727,556USD |
| Capital Expenditures | — | -467,189USD | -1,111,014USD |
| Free Cash Flow | — | -8,357,441USD | -7,838,570USD |
| Total Cashflows From Investing Activities | — | -467,189USD | -1,111,014USD |
| Net Borrowings | — | 1,955,889USD | -363,245USD |
| Total Cash From Financing Activities | — | 8,565,320USD | 5,839,354USD |
| Sale Purchase Of Stock | — | -2,750USD | 0USD |
| Issuance Of Capital Stock | — | 2,999,051USD | 3,559,735USD |
| Begin Period Cash Flow | — | 270,029USD | 2,269,245USD |
| End Period Cash Flow | — | 477,908USD | 270,029USD |
| Other Cashflows From Investing Activities | — | -354,040USD | -640,494USD |
| Other Cashflows From Financing Activities | — | 6,612,181USD | 6,202,599USD |
| Source | DisclosureDeterministicFinal | Legacy providerLegacy | Legacy providerLegacy |
Operating metrics
No operating metrics are currently published for this company.
Revenue breakdown
| Period | Dimension | Business / region | Revenue | Currency | Source |
|---|---|---|---|---|---|
| FY 2026Yearly · 2026-03-31 | Product | Omni Arena | 653,491 | USD | Disclosure |
| FY 2026Yearly · 2026-03-31 | Product | Omni Care Program | 175,333 | USD | Disclosure |
| FY 2026Yearly · 2026-03-31 | Product | Omni One | 2,732,009 | USD | Disclosure |
| FY 2026Yearly · 2026-03-31 | Product | Omni Pro Units And Accessories | 162,592 | USD | Disclosure |
| FY 2026Yearly · 2026-03-31 | Product | Omniverse Credits | 137,143 | USD | Disclosure |
| FY 2026Yearly · 2026-03-31 | Product | Resale Activity | 392,075 | USD | Disclosure |
| Q3 2026Quarterly · 2025-12-31 | Product | Omni Arena | 22,171 | USD | 0001213900-26-024327 |
| Q3 2026Quarterly · 2025-12-31 | Product | Omni Care Program | 36,000 | USD | 0001213900-26-024327 |
| Q3 2026Quarterly · 2025-12-31 | Product | Omni One | 762,549 | USD | 0001213900-26-024327 |
| Q3 2026Quarterly · 2025-12-31 | Product | Omni Pro Units And Accessories | 118,387 | USD | 0001213900-26-024327 |
| Q3 2026Quarterly · 2025-12-31 | Product | Omniverse Credits | 24,710 | USD | 0001213900-26-024327 |
| FY 2025Yearly · 2025-03-31 | Product | Omni Arena | 429,927 | USD | Disclosure |
| FY 2025Yearly · 2025-03-31 | Product | Omni Care Program | 130,990 | USD | Disclosure |
| FY 2025Yearly · 2025-03-31 | Product | Omni One | 2,755,223 | USD | Disclosure |
| FY 2025Yearly · 2025-03-31 | Product | Omni Pro Units And Accessories | 60,041 | USD | Disclosure |
| FY 2025Yearly · 2025-03-31 | Product | Omniverse Credits | 214,257 | USD | Disclosure |
| Q3 2025Quarterly · 2024-12-31 | Product | Omni Arena | 193,320 | USD | 0001213900-26-024327 |
| Q3 2025Quarterly · 2024-12-31 | Product | Omni Care Program | 31,333 | USD | 0001213900-26-024327 |
| Q3 2025Quarterly · 2024-12-31 | Product | Omni One | 931,458 | USD | 0001213900-26-024327 |
| Q3 2025Quarterly · 2024-12-31 | Product | Omni Pro Units And Accessories | 64,591 | USD | 0001213900-26-024327 |
| Q3 2025Quarterly · 2024-12-31 | Product | Omniverse Credits | 43,420 | USD | 0001213900-26-024327 |
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.