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CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS (Unaudited) - USD ($)
3 Months Ended 6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2025
Jun. 30, 2024
Income Statement [Abstract]        
Net sales $ 4,755,618 $ 4,326,821 $ 8,367,909 $ 9,603,164
Cost of products sold (excluding depreciation & amortization) 4,101,565 4,124,481 7,176,742 9,123,511
Gross profit 654,053 202,340 1,191,167 479,653
Operating expenses:        
Selling, general and administrative 605,273 755,959 1,203,825 1,449,912
Salaries and wages 1,055,103 1,199,348 2,022,065 2,495,616
Professional fees 190,507 452,367 336,518 707,692
Impairment of property & equipment 1,674,000 1,674,000
Loss on lease termination 53,425 53,425
Loss on sale of property & equipment 63,011
Depreciation and amortization 425,551 434,958 867,223 860,239
Research and development 344,784 494,475
Total operating expenses 2,329,859 4,861,416 4,546,067 7,681,934
Loss from operations (1,675,806) (4,659,076) (3,354,900) (7,202,281)
Other income (expense):        
Dividend income 182,941 396,671
Other income (expense) 1,609 (6,029) 51,033 32,962
Interest expense (19,556) (54,938) (55,759) (121,887)
Interest income 39,682 5,302 95,315 7,879
Unrealized loss on marketable securities 12,604 (2,944)
Realized gain on marketable securities 35,210
Total other income 21,735 139,880 90,589 347,891
Loss before income tax (1,654,071) (4,519,196) (3,264,311) (6,854,390)
Income taxes provision
Net loss (1,654,071) (4,519,196) (3,264,311) (6,854,390)
Less: Net loss attributable to noncontrolling interests (1,573,495) (2,222,462)
Net loss attributed to stockholders of Twin Vee PowerCats Co, Inc. $ (1,654,071) $ (2,945,701) $ (3,264,311) $ (4,631,928)
Basic loss per share of common stock $ (0.87) $ (3.09) $ (1.93) $ (4.87)
Dilutive loss per share of common stock $ (0.87) $ (3.09) $ (1.93) $ (4.87)
Weighted average number of shares of common stock outstanding basic 1,899,533 952,000 1,694,627 952,000
Weighted average number of shares of common stock outstanding dilutive 1,899,533 952,000 1,694,627 952,000