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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.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-06-30 · USDQ3 20262025-12-31 · USDQ2 20262025-09-30 · USDQ2 20252024-09-30 · USDQ1 20252024-06-30 · USD
Total Revenue767,300USD963,817USD984,812USD522,878USD323,889USD
Cost Of Revenue540,142USD674,396USD577,263USD837,108USD345,844USD
Gross Profit227,158USD289,421USD407,549USD-314,230USD-21,955USD
Research Development309,375USD226,574USD189,469USD888,226USD811,858USD
Selling General Administrative3,080,778USD1,172,329USD1,407,057USD1,068,742USD5,867,174USD
General And Administrative Expenses3,080,778USD————
Total Operating Expenses4,129,131USD2,132,565USD1,942,317USD2,419,373USD7,122,864USD
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 Income163USD272USD114USD186USD270USD
Interest Expense2,539,592USD870,717USD318,966USD93,588USD22,034USD
Income Before Tax-7,121,175USD-2,708,314USD-1,853,450USD-2,841,457USD-7,169,695USD
Income Tax Expense49,391USD22,630USD753USD10,934USD31,369USD
Equity Method Income Loss0USD————
Net Income-7,170,566USD-2,730,944USD-1,854,203USD-2,852,391USD-7,201,064USD
Selling And Marketing Expenses—733,662USD345,791USD462,405USD443,832USD
Net Interest Income—-870,445USD-318,852USD-93,402USD-21,764USD
Tax Provision—22,630USD753USD10,934USD31,369USD
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—151,305USD157,006USD114,567USD60,221USD
Reconciled Depreciation—151,305USD157,006USD114,567USD60,221USD
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Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20262026-03-31 · USD
Total Revenue4,252,643USD
Cost Of Revenue3,206,021USD
Gross Profit1,046,622USD
Research Development845,994USD
General And Administrative Expenses7,940,232USD
Total Operating Expenses11,365,974USD
Operating Income-10,319,352USD
Total Other Income Expense Net-6,354,643USD
Interest Income605USD
Interest Expense3,543,037USD
Income Before Tax-16,673,995USD
Income Tax Expense125,258USD
Net Income-16,799,253USD
SourceDisclosureDeterministicFinal

Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-06-30 · USDQ4 20262026-03-31 · USDQ3 20262025-12-31 · USDQ2 20262025-09-30 · USDQ4 20252025-03-31 · USDQ3 20252024-12-31 · USDQ2 20252024-09-30 · USDQ1 20252024-06-30 · USD
Total Assets12,580,486USD14,761,370USD6,355,674USD5,679,085USD5,775,023USD———
Total Current Assets10,047,173USD11,936,309USD3,025,543USD2,542,443USD2,365,982USD———
Other Current Assets764,516USD897,109USD240,023USD553,988USD247,280USD———
Other Non Current Assets50,975USD87,264USD——————
Total Liabilities15,660,981USD11,713,267USD——————
Total Current Liabilities14,153,546USD8,768,103USD8,744,656USD6,061,113USD5,913,534USD———
Other Current Liabilities588,772USD559,517USD——————
Total Stockholder Equity-3,080,495USD3,048,103USD-2,952,826USD-992,512USD-794,035USD———
Total Equity Including Noncontrolling Interest-3,080,495USD3,048,103USD——————
Deferred Revenue639,551USD666,327USD——————
Inventory1,373,385USD1,188,623USD1,380,265USD1,132,783USD1,456,249USD———
Property Plant Equipment Net1,049,714USD1,157,824USD1,134,225USD1,156,628USD1,300,391USD———
Accounts Payable662,290USD721,792USD1,275,992USD1,137,466USD807,401USD———
Short Term Debt256,966USD286,702USD5,463,043USD2,930,887USD2,794,576USD———
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—23,517USD23,661USD23,805USD24,087USD———
Intangible Assets——1,648,131USD1,754,247USD1,981,703USD———
Total Liab——9,308,500USD6,671,597USD6,569,058USD———
Other Current Liab——1,278,355USD1,254,562USD542,000USD———
Common Stock——30,852USD30,772USD8,259USD———
Capital Stock——30,852USD30,772USD29,947USD———
Cash——1,074,638USD564,567USD477,908USD———
Cash And Short Term Investments——1,074,638USD564,567USD477,908USD———
Current Deferred Revenue——727,266USD738,198USD1,769,556USD———
Net Debt——4,952,249USD2,976,804USD2,972,192USD———
Short Long Term Debt——5,287,623USD2,760,095USD2,590,525USD———
Short Long Term Debt Total——6,026,887USD3,541,371USD3,450,100USD———
Long Term Investments——40,619USD40,619USD40,689USD———
Net Receivables——330,617USD291,105USD184,545USD———
Property Plant Equipment Gross——2,122,576USD2,099,790USD2,157,419USD———
Common Stock Shares Outstanding——31,849,447shares30,852,457shares31,849,447shares31,849,447shares30,852,457shares29,004,314shares
Non Current Assets Total——3,330,130USD3,136,642USD3,409,041USD———
Non Current Liabilities Total——563,843USD610,484USD655,524USD———
Non Currrent Assets Other——507,155USD185,148USD86,258USD———
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——66,370,362USD65,599,892USD61,660,349USD———
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20262026-03-31 · USDFY 20252025-03-31 · USDFY 20242024-03-31 · USD
Total Assets14,761,370USD5,775,023USD4,842,312USD
Cash And Equivalents9,471,288USD——
Total Current Assets11,936,309USD2,365,982USD1,948,828USD
Other Current Assets897,109USD247,280USD522,361USD
Other Non Current Assets87,264USD——
Total Liabilities11,713,267USD——
Total Current Liabilities8,768,103USD5,913,534USD3,122,510USD
Other Current Liabilities559,517USD——
Total Stockholder Equity3,048,103USD-794,035USD1,398,861USD
Total Equity Including Noncontrolling Interest3,048,103USD——
Long Term Debt23,517USD24,087USD247,221USD
Deferred Revenue666,327USD——
Inventory1,188,623USD1,456,249USD970,490USD
Property Plant Equipment Net1,157,824USD1,300,391USD818,560USD
Accounts Payable721,792USD807,401USD396,778USD
Short Term Debt286,702USD2,794,576USD620,492USD
Retained Earnings-79,291,843USD-62,492,590USD-47,843,798USD
Intangible Assets—1,981,703USD1,939,683USD
Total Liab—6,569,058USD3,443,451USD
Other Current Liab—542,000USD254,898USD
Common Stock—8,259USD8,250USD
Capital Stock—29,947USD28,476USD
Cash—477,908USD270,029USD
Cash And Short Term Investments—477,908USD270,029USD
Current Deferred Revenue—1,769,556USD1,850,342USD
Net Debt—2,972,192USD671,404USD
Short Long Term Debt—2,590,525USD397,775USD
Short Long Term Debt Total—3,450,100USD941,433USD
Long Term Investments—40,689USD55,637USD
Net Receivables—184,545USD185,948USD
Property Plant Equipment Gross—2,157,419USD1,631,549USD
Common Stock Shares Outstanding—29,462,513shares25,778,213shares
Non Current Assets Total—3,409,041USD2,893,484USD
Non Current Liabilities Total—655,524USD320,941USD
Non Currrent Assets Other—86,258USD79,604USD
Net Working Capital—-3,547,552USD-1,173,682USD
Unclassified Current Liabilities—-2,590,524USD—
Unclassified Equity—61,660,349USD48,210,415USD
Accumulated Other Comprehensive Income——995,518USD
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Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-06-30 · USDQ4 20262026-03-31 · USDQ3 20262025-12-31 · USDQ2 20262025-09-30 · USDQ4 20252025-03-31 · USDQ3 20252024-12-31 · USDQ2 20252024-09-30 · USDQ1 20252024-06-30 · USD
Depreciation142,953USD158,900USD151,305USD157,006USD152,549USD155,052USD114,567USD60,221USD
Stock Based Compensation619,857USD1,408,368USD52,107USD205,588USD1,176,726USD9,714USD10,638USD4,663,617USD
Other Non Cash Items-431,224USD4,725,462USD741,999USD211,326USD1,139,364USD-4,193USD-11,593USD65,622USD
Change To Account Receivables-92,208USD-196,913USD6,002USD-82,635USD31,293USD8,151USD-26,616USD-90,921USD
Change To Inventory-184,762USD191,642USD-247,482USD30,909USD548,513USD285,259USD-374,686USD-944,845USD
Change To Liabilities127,125USD———————
Change In Working Capital-167,590USD-354,365USD-113,572USD-843,939USD-214,758USD677,188USD323,963USD-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 Flow1,278,797USD7,007,791USD——-2,949,429USD2,137,898USD-4,644,750USD4,644,750USD
Financing Cash Flow1,278,657USD———————
Change In Cash-2,027,419USD8,396,650USD510,071USD-19,227USD477,908USD778,334USD-40,809USD479,253USD
End Cash Flow7,443,869USD———————
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—5,389,054USD2,515,353USD1,667,669USD-107,883USD-222,053USD2,383,808USD-97,983USD
Total Cash From Financing Activities—12,375,047USD2,473,830USD2,124,079USD541,493USD1,915,845USD2,610,592USD3,497,390USD
Sale Purchase Of Stock—0USD0USD0USD0USD0USD0USD-2,750USD
Issuance Of Capital Stock—0USD0USD451,479USD609,371USD2,139,680USD-4,394,750USD4,644,750USD
Begin Period Cash Flow—1,074,638USD564,567USD583,794USD1,486,807USD708,473USD749,282USD270,029USD
End Period Cash Flow—9,471,288USD1,074,638USD564,567USD477,908USD1,486,807USD708,473USD749,282USD
Other Cashflows From Investing Activities—2,192USD————-165,545USD-185,671USD
Other Cashflows From Financing Activities—-21,798USD-42,098USD454,030USD3,598,805USD—4,871,534USD-1,046,627USD
Unclassified Operating Cash Flow————-1,176,726USD———
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20262026-03-31 · USDFY 20252025-03-31 · USDFY 20242024-03-31 · USD
Net Income-16,799,253USD-14,648,792USD-12,401,393USD
Depreciation625,987USD482,389USD147,938USD
Stock Based Compensation441,951USD5,860,695USD4,688,298USD
Unclassified Operating Cash Flow6,963,648USD——
Change To Account Receivables-326,768USD-78,093USD96,553USD
Change To Inventory267,626USD-485,759USD147,759USD
Change To Liabilities459,270USD——
Change In Working Capital-736,713USD404,693USD752,294USD
Operating Cash Flow-9,504,380USD——
Investing Cash Flow-97,045USD——
Net Debt Issuance-549USD——
Unclassified Financing Cash Flow18,595,354USD——
Financing Cash Flow18,594,805USD——
Change In Cash8,993,380USD207,879USD-1,999,216USD
End Cash Flow9,471,288USD——
Other Non Cash Items—10,763USD85,307USD
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—8,565,320USD5,839,354USD
Sale Purchase Of Stock—-2,750USD0USD
Issuance Of Capital Stock—2,999,051USD3,559,735USD
Begin Period Cash Flow—270,029USD2,269,245USD
End Period Cash Flow—477,908USD270,029USD
Other Cashflows From Investing Activities—-354,040USD-640,494USD
Other Cashflows From Financing Activities—6,612,181USD6,202,599USD
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

PeriodDimensionBusiness / regionRevenueCurrencySource
FY 2026Yearly · 2026-03-31ProductOmni Arena653,491USDDisclosure
FY 2026Yearly · 2026-03-31ProductOmni Care Program175,333USDDisclosure
FY 2026Yearly · 2026-03-31ProductOmni One2,732,009USDDisclosure
FY 2026Yearly · 2026-03-31ProductOmni Pro Units And Accessories162,592USDDisclosure
FY 2026Yearly · 2026-03-31ProductOmniverse Credits137,143USDDisclosure
FY 2026Yearly · 2026-03-31ProductResale Activity392,075USDDisclosure
Q3 2026Quarterly · 2025-12-31ProductOmni Arena22,171USD0001213900-26-024327
Q3 2026Quarterly · 2025-12-31ProductOmni Care Program36,000USD0001213900-26-024327
Q3 2026Quarterly · 2025-12-31ProductOmni One762,549USD0001213900-26-024327
Q3 2026Quarterly · 2025-12-31ProductOmni Pro Units And Accessories118,387USD0001213900-26-024327
Q3 2026Quarterly · 2025-12-31ProductOmniverse Credits24,710USD0001213900-26-024327
FY 2025Yearly · 2025-03-31ProductOmni Arena429,927USDDisclosure
FY 2025Yearly · 2025-03-31ProductOmni Care Program130,990USDDisclosure
FY 2025Yearly · 2025-03-31ProductOmni One2,755,223USDDisclosure
FY 2025Yearly · 2025-03-31ProductOmni Pro Units And Accessories60,041USDDisclosure
FY 2025Yearly · 2025-03-31ProductOmniverse Credits214,257USDDisclosure
Q3 2025Quarterly · 2024-12-31ProductOmni Arena193,320USD0001213900-26-024327
Q3 2025Quarterly · 2024-12-31ProductOmni Care Program31,333USD0001213900-26-024327
Q3 2025Quarterly · 2024-12-31ProductOmni One931,458USD0001213900-26-024327
Q3 2025Quarterly · 2024-12-31ProductOmni Pro Units And Accessories64,591USD0001213900-26-024327
Q3 2025Quarterly · 2024-12-31ProductOmniverse Credits43,420USD0001213900-26-024327

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.