S&P 500 7,459.94 â–ŧ 73.83 (-0.98%) DOW 52,169.10 â–ŧ 383.87 (-0.73%) NASDAQ 25,535.42 â–ŧ 346.53 (-1.34%) US Markets Closed â€ĸ 01:40 AM ET

HCWC

Healthy Choice Wellness Corp.

Price Chart
Latest Quote

$0.19

+0.00 (+2.24%)
Current Price
Previous Close $0.19
Open $0.19
Day High $0.20
Day Low $0.19
Volume 347,105
Fetched: 2026-07-16T06:03:43
Stock Information
Shares Outstanding 26.59M
Total Debt $16.41M
Cash Equivalents $2.35M
Revenue $76.19M
Net Income $-6.90M
Sector Consumer Defensive
Industry Packaged Foods
Market Cap $5.08M
EPS (TTM) $-0.33
Exchange ASE
🌐 Visit Website
📊 Comprehensive Analysis
Company Data
Enterprise Value$19.13M
Sales$76.19M
Income$-6.90M
Book/sh$0.19
Cash/sh$0.09
Employees430
Financial Ratios
Quick Ratio0.21
Current Ratio0.68
Debt/Eq346.03
Returns & Margins
ROA-4.43%
ROE-201.00%
Gross Margin39.03%
Operating Margin-8.85%
Profit Margin-9.06%
Ownership
Insider Ownership20.44%
Institutional Ownership1.99%
Insider & Institutional transactions data not available
Valuation Ratios
P/S0.07
P/B1.02
Analyst Data
Recommendationnone
Technical Indicators
SMA20$0.20
SMA50$0.25
SMA200$0.36
RSI53.23
ATR0.0136
Shares Float20.05M
Short Float2.72%
Short Ratio0.15
Rel Volume0.23
Performance History
Week-2.05%
Month-22.04%
Quarter-30.55%
6 Months-36.54%
YTD-32.03%
Year-57.56%
10 Years-96.35%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
⭐ Premium Feature

Sign up for free to view detailed scoring breakdown — premium is free during our trial period!

Recent Price History
Date Close Volume
2026-07-17 $0.19 205,000
2026-07-16 $0.19 463,500
2026-07-15 $0.19 396,400
2026-07-14 $0.19 686,200
2026-07-13 $0.19 200,900
2026-07-10 $0.19 68,400
2026-07-09 $0.20 240,800
2026-07-08 $0.19 426,700
2026-07-07 $0.20 243,300
2026-07-06 $0.20 780,200
2026-07-02 $0.21 4,089,400
2026-07-01 $0.19 431,400
2026-06-30 $0.19 368,700
2026-06-29 $0.19 373,900
2026-06-26 $0.19 1,443,400
2026-06-25 $0.19 2,876,600
2026-06-24 $0.22 2,943,800
2026-06-23 $0.20 295,900
2026-06-22 $0.22 737,500
2026-06-18 $0.25 629,000
About Healthy Choice Wellness Corp.

Healthy Choice Wellness Corp., through its subsidiaries, operates natural and organic retail stores in the United States. It operates Ada's Natural Market, a natural and organic grocery store; Paradise Health & Nutrition, a natural and organic grocery store; Mother Earth's Storehouse, an organic and health food and vitamin chain; Greens Natural Foods, an organic produce and all-natural, and non-GMO groceries and bulk food; Ellwood Thompson, an organic and natural health food and vitamin store; and GreenAcres Market, an organic and natural health food and vitamin chain. The company also operates Healthy Choice Wellness Center, a center that offers multiple vitamin drip mix and intramuscular shots for clients, as well as IV vitamin mixes and shots for health, beauty, and re-hydration; and sells vitamin and supplement, as well as health, beauty, and personal care products on its website www.TheVitaminStore.com. The company was incorporated in 2022 and is headquartered in Hollywood, Florida.

Period:
Loading...
Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Reconciled Cost Of Revenue $47,548,514 $42,305,494 $35,341,569 $18,926,175
Cost Of Revenue $47,548,514 $42,305,494 $35,341,569 $18,926,175
Total Revenue $78,205,678 $69,370,803 $55,689,793 $29,009,640
Operating Revenue $78,205,678 $69,370,803 $55,689,793 $29,009,640
Expenses
Interest Expense $1,012,871 $848,651 $199,681 $29,992
Total Expenses $80,689,794 $71,353,427 $60,109,862 $33,177,250
Other Income Expense $-438,815 $-1,675,191 $-5,312,870 $874,907
Other Non Operating Income Expenses $2,315 $8,552 $16,230 $541,807
Net Non Operating Interest Income Expense $-1,012,871 $-848,651 $-199,681 $-29,992
Interest Expense Non Operating $1,012,871 $848,651 $199,681 $29,992
Operating Expense $33,141,280 $29,047,933 $24,768,293 $14,251,075
Total Other Finance Cost - - $199,681 -
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-3,935,802 $-4,506,466 $-9,932,620 $-3,322,695
Net Interest Income $-1,012,871 $-848,651 $-199,681 $-29,992
Normalized Income $-3,494,672 $-2,822,723 $-4,603,520 $-3,655,795
Net Income From Continuing And Discontinued Operation $-3,935,802 $-4,506,466 $-9,932,620 $-3,322,695
Total Operating Income As Reported $-2,484,116 $-1,777,478 $-10,524,069 $-4,167,610
Net Income Common Stockholders $-3,935,802 $-4,506,466 $-9,932,620 $-3,322,695
Net Income $-3,935,802 $-4,506,466 $-9,932,620 $-3,322,695
Net Income Including Noncontrolling Interests $-3,935,802 $-4,506,466 $-9,932,620 $-3,322,695
Net Income Continuous Operations $-3,935,802 $-4,506,466 $-9,932,620 $-3,322,695
Pretax Income $-3,935,802 $-4,506,466 $-9,932,620 $-3,322,695
Special Income Charges $-441,130 $-1,683,743 $-5,329,100 $333,100
Operating Income $-2,484,116 $-1,982,624 $-4,420,069 $-4,167,610
Gross Profit $30,657,164 $27,065,309 $20,348,224 $10,083,465
Per Share
Diluted EPS $-0.24 $-0.48 $-1.08 $-0.35
Basic EPS $-0.24 $-0.48 $-1.08 $-0.35
Other
Tax Effect Of Unusual Items $0 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $2,964,459 $2,875,982 $-401,821 $-1,579,583
Total Unusual Items $-441,130 $-1,683,743 $-5,329,100 $333,100
Total Unusual Items Excluding Goodwill $-441,130 $-1,683,743 $-5,329,100 $333,100
Reconciled Depreciation $5,446,260 $4,850,054 $4,002,018 $2,046,220
EBITDA (Bullshit earnings) $2,523,329 $1,192,239 $-5,730,921 $-1,246,483
EBIT $-2,922,931 $-3,657,815 $-9,732,939 $-3,292,703
Diluted Average Shares $16,571,397 $9,395,500 $9,400,000 $9,400,000
Basic Average Shares $16,571,397 $9,395,500 $9,226,860 $9,400,000
Diluted NI Availto Com Stockholders $-3,935,802 $-4,506,466 $-9,932,620 $-3,322,695
Tax Provision $0 $0 $0 $0
Gain On Sale Of Ppe $0 $205,146 $0 -
Other Special Charges $441,130 $1,888,889 - -
Selling General And Administration $33,141,280 $29,047,933 $24,768,293 $14,251,075
Impairment Of Capital Assets - $0 $6,104,000 $0
Restructuring And Mergern Acquisition - $0 $-774,900 $-333,100
Fetched: 2026-07-16
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $795,421 $-5,273,477 $4,809,603 $4,978,157
Total Assets $33,497,719 $34,112,517 $28,432,560 $33,153,670
Total Non Current Assets $23,513,307 $24,405,560 $22,487,779 $26,955,617
Other Non Current Assets $630,824 $543,373 $467,056 $450,966
Goodwill And Other Intangible Assets $6,509,615 $7,653,478 $4,178,519 $10,527,504
Other Intangible Assets $4,297,615 $5,441,478 $4,178,519 $4,780,504
Current Assets $9,984,412 $9,706,957 $5,944,781 $6,198,053
Other Current Assets $85,946 $29,806 $56,842 $288,934
Prepaid Assets $527,651 $475,088 $174,970 $82,954
Inventory $5,987,262 $6,445,560 $4,162,218 $3,750,364
Receivables $363,935 $700,031 $128,171 $55,230
Accounts Receivable $363,935 $509,763 $128,171 $55,230
Cash Cash Equivalents And Short Term Investments $3,019,618 $2,056,472 $1,422,580 $2,020,571
Cash And Cash Equivalents $3,019,618 $2,056,472 $1,422,580 $2,020,571
Cash Financial - $2,056,472 $1,422,580 $2,020,571
Non Current Accounts Receivable - - $3,753,003 $2,336,365
Debt
Net Debt $4,278,839 $9,282,636 $1,683,928 $894,032
Total Debt $18,032,756 $25,520,526 $14,316,514 $13,184,959
Long Term Debt And Capital Lease Obligation $13,414,477 $19,792,203 $10,864,989 $10,419,565
Long Term Debt $6,180,498 $9,207,772 $2,403,807 $2,378,061
Current Debt And Capital Lease Obligation $4,618,279 $5,728,323 $3,451,525 $2,765,394
Current Debt $1,117,959 $2,131,336 $702,701 $536,542
Other Current Borrowings $1,117,959 $2,131,336 $702,701 $536,542
Liabilities
Total Liabilities Net Minority Interest $26,192,683 $31,732,516 $19,444,438 $17,648,009
Total Non Current Liabilities Net Minority Interest $13,478,355 $19,792,203 $10,864,989 $10,419,565
Other Non Current Liabilities $63,878 - - -
Current Liabilities $12,714,328 $11,940,313 $8,579,449 $7,228,444
Other Current Liabilities $14,306 - - $774,900
Current Deferred Liabilities $27,700 $80,456 $207,513 $198,606
Payables And Accrued Expenses $8,054,043 $6,131,534 $4,920,411 $3,489,544
Payables $7,310,925 $5,133,782 $4,406,299 $3,118,757
Accounts Payable $7,310,925 $5,133,782 $4,406,299 $3,118,757
Equity
Common Stock Equity $7,305,031 $2,380,001 $8,988,122 $15,505,661
Preferred Stock Equity $5 - - -
Total Equity Gross Minority Interest $7,305,036 $2,380,001 $8,988,122 $15,505,661
Stockholders Equity $7,305,036 $2,380,001 $8,988,122 $15,505,661
Retained Earnings $-4,666,709 $-730,907 $0 -
Long Term Equity Investment $3,950,081 $0 $3,753,003 $2,336,365
Investments In Other Ventures Under Equity Method $3,950,081 $0 $3,753,003 $2,336,365
Other Equity Interest - - $8,988,122 -
Other
Ordinary Shares Number $19,990,750 $9,815,749 $2,750,000 $2,750,000
Share Issued $19,990,750 $9,815,749 $2,750,000 $2,750,000
Tangible Book Value $795,416 $-5,273,477 $4,809,603 $4,978,157
Invested Capital $14,603,488 $13,719,109 $12,094,630 $2,914,603
Working Capital $-2,729,916 $-2,233,356 $-2,634,668 $-1,030,391
Capital Lease Obligations $10,734,299 $14,181,418 $11,210,006 $10,270,356
Total Capitalization $13,485,534 $11,587,773 $11,391,929 $17,883,722
Additional Paid In Capital $11,951,749 $3,101,092 $0 -
Capital Stock $19,996 $9,816 $0 -
Common Stock $19,991 $9,816 $0 -
Preferred Stock $5 $0 $0 -
Long Term Capital Lease Obligation $7,233,979 $10,584,431 $8,461,182 $8,041,504
Current Deferred Revenue $27,700 $80,456 $207,513 $198,606
Current Capital Lease Obligation $3,500,320 $3,596,987 $2,748,824 $2,228,852
Current Accrued Expenses $743,118 $997,752 $514,112 $370,787
Investments And Advances $3,950,081 $0 $3,753,003 $2,336,365
Goodwill $2,212,000 $2,212,000 $0 $5,747,000
Net PPE $12,422,787 $16,208,709 $14,089,201 $13,640,782
Accumulated Depreciation $-2,480,974 $-1,967,998 $-1,463,728 $-925,428
Gross PPE $14,903,761 $18,176,707 $15,552,929 $14,566,210
Leases $2,125,454 $1,991,953 $1,925,385 $1,910,719
Other Properties $11,722,966 $15,255,068 $12,405,426 $11,496,628
Machinery Furniture Equipment $1,055,341 $929,686 $647,118 $583,863
Properties $0 $0 $0 $0
Duefrom Related Parties Current $0 $190,268 $0 -
Duefrom Related Parties Non Current - $0 $3,753,003 $2,336,365
Buildings And Improvements - $0 $575,000 $575,000
Fetched: 2026-07-16
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $675,420 $-3,316,635 $-2,704,977 $-1,756,545
Operating Activities
Operating Cash Flow $996,054 $-3,064,842 $-2,525,354 $-1,369,060
Cash Flow From Continuing Operating Activities $996,054 $-3,064,842 $-2,525,354 $-1,369,385
Operating Gains Losses $414,473 $1,683,743 - -
Investing Activities
Capital Expenditure $-320,634 $-251,793 $-179,623 $-387,485
Investing Cash Flow $-4,136,956 $-4,977,793 $-929,623 $-10,679,159
Cash Flow From Continuing Investing Activities $-4,136,956 $-4,977,793 $-929,623 $-10,679,159
Net Other Investing Changes $-3,828,038 - - -
Financing Activities
Issuance Of Capital Stock $5,116,936 $4,000,000 $0 -
Financing Cash Flow $4,104,048 $8,676,527 $2,856,986 $13,712,417
Cash Flow From Continuing Financing Activities $4,104,048 $8,676,527 $2,856,986 $13,712,417
Net Preferred Stock Issuance $5,116,936 $0 - -
Preferred Stock Issuance $5,116,936 $0 - -
Net Common Stock Issuance $0 $4,000,000 $0 -
Common Stock Issuance $0 $4,000,000 $0 -
Net Other Financing Charges - $-289,604 $3,415,081 $13,801,233
Other
Repayment Of Debt $-1,012,888 $-2,535,758 $-558,095 $-88,816
Issuance Of Debt $0 $7,500,000 $0 -
Interest Paid Supplemental Data $607,099 $816,151 $199,705 $30,017
Income Tax Paid Supplemental Data $0 $0 $0 $0
End Cash Position $3,019,618 $2,056,472 $1,422,580 $2,020,571
Beginning Cash Position $2,056,472 $1,422,580 $2,020,571 $356,373
Changes In Cash $963,146 $633,892 $-597,991 $1,664,198
Proceeds From Stock Option Exercised $0 $1,889 $0 -
Net Issuance Payments Of Debt $-1,012,888 $4,964,242 $-558,095 $-88,816
Net Long Term Debt Issuance $-1,012,888 $4,964,242 $-558,095 $-88,816
Long Term Debt Payments $-1,012,888 $-2,535,758 $-558,095 $-88,816
Long Term Debt Issuance $0 $7,500,000 $0 -
Net Business Purchase And Sale $0 $-5,475,000 $-750,000 $-10,291,674
Purchase Of Business $0 $-5,475,000 $-750,000 $-10,291,674
Net PPE Purchase And Sale $-308,918 $497,207 $-179,623 $-387,485
Sale Of PPE $11,716 $749,000 $0 -
Purchase Of PPE $-320,634 $-251,793 $-179,623 $-387,485
Change In Working Capital $-3,811,543 $-7,629,532 $-4,534,221 $-1,313,706
Change In Other Working Capital $-52,756 $-127,057 $-21,604 $-313,257
Change In Other Current Liabilities $-3,518,803 $-3,121,863 $-2,438,179 $-953,227
Change In Other Current Assets $-184,841 $-49,281 $124,711 $-704,000
Change In Payables And Accrued Expense $1,990,732 $-1,261,470 $14,229 $3,112,481
Change In Payable $1,990,732 $-1,261,470 $14,229 -
Change In Account Payable $1,922,506 $1,178,624 $1,430,867 -
Change In Prepaid Assets $-52,563 $-300,118 $-92,016 $-30,832
Change In Inventory $-2,157,090 $-2,375,226 $-2,032,996 $-1,471,859
Change In Receivables $163,778 $-394,517 $-88,366 $-953,012
Changes In Account Receivables $163,778 $-394,517 $-88,366 $-26,883
Other Non Cash Items $187,728 $32,500 $-651,609 $-332,775
Stock Based Compensation $97,500 $0 - -
Provisionand Write Offof Assets $-17,950 $12,925 $15,425 $0
Asset Impairment Charge $2,615,388 $2,491,934 $8,575,653 $1,553,896
Depreciation Amortization Depletion $5,446,260 $4,850,054 $4,002,018 $2,046,220
Depreciation And Amortization $5,446,260 $4,850,054 $4,002,018 $2,046,220
Depreciation $5,446,260 $4,850,054 $4,002,018 $1,323,220
Gain Loss On Sale Of PPE $-9,885 $-205,146 $0 -
Net Income From Continuing Operations $-3,935,802 $-4,506,466 $-9,932,620 $-3,322,695
Amortization Cash Flow - - $893,000 $723,000
Amortization Of Intangibles - - $893,000 $723,000
Fetched: 2026-07-16