Edgemode, Inc. (FWAV)
Q2-CY2026Q1-CY2026Q4-CY2025Q3-CY2025Q2-CY2025Q1-CY2025Q4-CY2024Q3-CY2024Q2-CY2024Q1-CY2024Q4-CY2023Q3-CY2023Q2-CY2023Q1-CY2023Q4-CY2022Q3-CY2022Q2-CY2022Q1-CY2022Q4-CY2021Q3-CY2021Q2-CY2021Q1-CY2021Q4-CY2020Q3-CY2020Q2-CY2020Q1-CY2020Q4-CY2019Q3-CY2019Q2-CY2019Q1-CY2019Q4-CY2018Q3-CY2018Q2-CY2018Q1-CY2018Q4-CY2017Q3-CY2017Q2-CY2017Q1-CY2017Q4-CY2016Q3-CY2016Q2-CY2016Q1-CY2016Q4-CY2015Q3-CY2015Q2-CY2015Q1-CY2015Q4-CY2014Q3-CY2014Q2-CY2014
Balance Sheet Date2026-Mar-312025-Dec-312025-Sep-302025-Jun-302025-Mar-312024-Dec-312024-Sep-302024-Jun-302024-Mar-312023-Dec-312021-Jun-302021-Mar-312020-Dec-312020-Sep-302020-Jun-302020-Mar-312019-Dec-312019-Sep-302019-Jun-302019-Mar-312018-Dec-312018-Sep-302018-Jun-302018-Mar-312017-Dec-312017-Sep-302017-Jun-302017-Mar-312016-Dec-312016-Sep-302016-Jun-302016-Mar-312015-Dec-31
Fiscal PeriodQ1-FY2026Q4-FY2025Q3-FY2025Q2-FY2025Q1-FY2025Q4-FY2024Q3-FY2024Q2-FY2024Q1-FY2024Q4-FY2023Q2-FY2021Q1-FY2021Q4-FY2020Q3-FY2020Q2-FY2020Q1-FY2020Q4-FY2019Q3-FY2019Q2-FY2019Q1-FY2019Q4-FY2018Q3-FY2018Q2-FY2018Q1-FY2018Q4-FY2017Q3-FY2017Q2-FY2017Q1-FY2017Q4-FY2016Q3-FY2016Q2-FY2016Q1-FY2016Q4-FY2015
Total Assets1,914,031$1,276,036$6,083,324$5,238,556$378,259$1,503$6,563$1,776$20,290$20,588$1,189,399$438,728$224,388$315,453$371,446$14,030$33,515$25,709$11,999$40,436$15,819$6,985$64,340$106,771$3,132$1,184$10,829$5,180$12,163$4,399$15,866$6,233$16,659$10,847$16,118$
Total Current Assets386,052$267,158$396,728$208,783$195,259$1,471$6,531$1,744$20,258$20,556$1,186,769$290,183$199,388$290,453$371,446$14,030$33,515$25,709$11,999$40,436$15,819$6,985$64,314$106,359$2,334$9,259$3,224$9,821$1,671$12,752$2,733$12,774$6,575$10,301$
Cash and Cash Equivalents
Receivables
Other Current Assets90,026$180,053$
Assets Held for Sale in Short Term
Total Noncurrent Assets1,527,979$1,008,878$5,686,596$5,029,773$183,000$32$32$32$32$32$2,630$148,545$25,000$25,000$0$0$0$0$0$0$0$0$26$412$798$1,184$1,570$1,956$2,342$2,728$3,114$3,500$3,885$4,272$5,817$
Goodwill
Other Intangible Assets
Physical Assets4,051,596$4,149,773$26$412$798$1,184$1,570$1,956$2,342$2,728$3,114$3,500$3,885$4,272$5,817$
Other Noncurrent Assets
Assets Held for Sale in Long Term
Total Liabilities9,758,937$20,083,835$25,690,998$4,656,711$4,293,644$4,724,518$5,304,473$3,901,414$3,604,450$3,153,544$2,783,071$1,367,448$2,682,520$2,199,709$2,154,732$1,451,484$1,268,956$867,896$696,137$602,350$486,358$429,869$409,150$438,658$433,160$411,867$402,055$387,624$376,158$351,043$339,800$315,470$289,991$261,913$130,489$
Total Current Liabilities9,531,275$19,856,173$25,463,336$4,429,049$4,065,983$4,724,518$5,304,473$3,901,414$3,604,450$3,153,544$2,783,071$1,367,448$2,682,520$2,199,709$2,154,732$1,451,484$1,268,956$867,896$696,137$602,350$486,358$429,869$409,150$438,658$433,160$411,867$402,055$387,624$376,158$351,043$339,800$315,470$289,991$261,913$130,489$
Accounts Payable307,843$285,043$657,806$625,706$513,467$269,107$128,519$13,615$11,349$15,177$15,028$6,309$4,817$7,260$4,879$955$524$558$1,443$1,000$670$5,191$6,113$1,589$
Short Term Debt
Short Term Capital Lease Obligations119,961$
Other Current Liabilities
Total Noncurrent Liabilities227,662$227,662$227,662$227,662$227,661$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$0$
Long Term Debt1,179,972$
Long Term Capital Lease Obligations
Other Noncurrent Liabilities
Total Equity(7,844,906$)(18,807,799$)(19,607,674$)581,845$(3,915,385$)(4,723,015$)(5,297,910$)(3,899,638$)(3,584,160$)(3,132,956$)(2,062,581$)(2,062,581$)(2,125,221$)(1,593,672$)2,134,898$(928,720$)(2,458,132$)(1,884,256$)(1,783,286$)(1,437,454$)(1,235,441$)(842,187$)(684,138$)(561,914$)(470,539$)(422,884$)(344,810$)(331,888$)(430,028$)(410,683$)(391,226$)(382,444$)(363,995$)346,644$(323,934$)(309,237$)(273,332$)(251,066$)(114,371$)
Equity to Minority(69,162$)
Equity to Common Shareholders(7,775,744$)(18,807,799$)(19,607,674$)581,845$(3,915,385$)(4,723,015$)(5,297,910$)(3,899,638$)(3,584,160$)(3,132,956$)(2,062,581$)(2,062,581$)(2,125,221$)(1,593,672$)2,134,898$(928,720$)(2,458,132$)(1,884,256$)(1,783,286$)(1,437,454$)(1,235,441$)(842,187$)(684,138$)(561,914$)(470,539$)(422,884$)(344,810$)(331,888$)(430,028$)(410,683$)(391,226$)(382,444$)(363,995$)346,644$(323,934$)(309,237$)(273,332$)(251,066$)(114,371$)
Additional Paid-In Capital59,442,410$43,308,300$32,801,079$63,463,791$57,050,977$35,371,266$35,371,266$35,371,266$35,371,266$35,371,266$35,371,266$35,371,266$33,896,019$7,094,179$5,264,382$4,379,732$3,784,172$3,505,238$3,256,934$348,680$208,983$195,273$189,048$189,048$72,841$36,875$(110,125$)3,095$(110,125$)(110,125$)(110,125$)(110,125$)(110,125$)(110,125$)(110,125$)(110,125$)(110,125$)
Retained Earnings(70,764,164$)(65,114,259$)(54,847,057$)(65,184,330$)(61,357,049$)(40,484,968$)(41,059,863$)(39,661,591$)(39,346,113$)(38,894,909$)(37,824,534$)(37,887,174$)(35,880,128$)(8,070,060$)(7,761,280$)(6,304,636$)(5,604,766$)(4,978,819$)(4,527,864$)(1,220,155$)(922,198$)(786,264$)(688,639$)(640,984$)(562,910$)(513,287$)(461,428$)(442,083$)(422,626$)(413,844$)(395,395$)(378,044$)(355,334$)(340,637$)(304,732$)(282,466$)(145,771$)
Treasury Stock
Capital Lease Obligations119,961$