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SGN

Signing Day Sports Inc

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No historical data available

Latest Quote

$0.54

-0.16 (-22.79%)
Current Price
Previous Close $0.70
Open $0.51
Day High $0.56
Day Low $0.45
Volume 13,148,227
Fetched: 2026-05-13T14:41:13
Stock Information
Shares Outstanding 13.72M
Total Debt $78K
Cash Equivalents $216K
Revenue $366K
Net Income $-6.09M
Sector Technology
Industry Software - Application
Market Cap $7.41M
EPS (TTM) $-4.04
Exchange ASE
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Recent Price History
No history data available. Data will be fetched automatically.
About Signing Day Sports Inc

Signing Day Sports, Inc. operates a sports recruitment platform in the United States. The company offers Signing Day Sports, a sports recruitment platform that helps athletes get discovered and recruited by coaches and recruiters for various sports, such as football, baseball, softball, and men's and women's soccer. It serves student-athletes and their parents, high school and sports club coaches, college coaches, and professional scouts. Signing Day Sports, Inc. was founded in 2019 and is based in Scottsdale, Arizona.

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Income Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Revenue
Reconciled Cost Of Revenue $200,802 $40,387 $783,064 $504,342
Cost Of Revenue $200,802 $40,387 $783,064 $504,342
Total Revenue $615,551 $307,578 $78,336 $340,984
Operating Revenue $615,551 $307,578 $78,336 $340,984
Expenses
Interest Expense $787,564 $856,573 $597,747 $78,503
Total Expenses $8,174,375 $4,990,759 $6,371,904 $6,637,101
Other Income Expense $-392,729 $61,634 $216,401 $-2,430,794
Other Non Operating Income Expenses $-725,054 $61,634 $216,401 -
Net Non Operating Interest Income Expense $-774,399 $-856,573 $-596,647 $-77,316
Interest Expense Non Operating $787,564 $856,573 $597,747 $78,503
Operating Expense $7,973,573 $4,950,372 $5,588,840 $6,132,759
Selling And Marketing Expense $94,814 $439,700 $1,842,666 $1,104,939
General And Administrative Expense $7,813,759 $4,575,672 $3,846,174 $5,027,820
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-8,725,952 $-5,478,120 $-6,673,814 $-8,804,227
Net Interest Income $-774,399 $-856,573 $-596,647 $-77,316
Interest Income $13,165 $0 $1,100 $1,187
Normalized Income $-9,058,277 $-5,478,120 $-6,673,814 $-6,373,433
Net Income From Continuing And Discontinued Operation $-8,725,952 $-5,478,120 $-6,673,814 $-8,804,227
Total Operating Income As Reported $-7,493,824 $-4,748,181 $-6,393,568 $-8,572,276
Net Income Common Stockholders $-8,725,952 $-5,478,120 $-6,673,814 $-8,804,227
Net Income $-8,725,952 $-5,478,120 $-6,673,814 $-8,804,227
Net Income Including Noncontrolling Interests $-8,725,952 $-5,478,120 $-6,673,814 $-8,804,227
Net Income Continuous Operations $-8,725,952 $-5,478,120 $-6,673,814 $-8,804,227
Pretax Income $-8,725,952 $-5,478,120 $-6,673,814 $-8,804,227
Interest Income Non Operating $13,165 $0 $1,100 $1,187
Operating Income $-7,558,824 $-4,683,181 $-6,293,568 $-6,296,117
Gross Profit $414,749 $267,191 $-704,728 $-163,358
Special Income Charges - - $-666,316 $-2,430,794
Per Share
Diluted EPS $-19.86 $-19.85 $-34.68 $-37.26
Basic EPS $-19.86 $-19.85 $-34.68 $-37.26
Other
Tax Effect Of Unusual Items $0 $0 $0 $0
Tax Rate For Calcs $0 $0 $0 $0
Normalized EBITDA (Bullshit earnings) $-8,038,314 $-4,437,802 $-6,074,299 $-5,922,078
Total Unusual Items $332,325 - $-666,316 $-2,430,794
Total Unusual Items Excluding Goodwill $332,325 - $-666,316 $-2,430,794
Reconciled Depreciation $232,399 $183,745 $1,768 $372,852
EBITDA (Bullshit earnings) $-7,705,989 $-4,437,802 $-6,074,299 $-8,352,872
EBIT $-7,938,388 $-4,621,547 $-6,076,067 $-8,725,724
Diluted Average Shares $439,351 $276,013 $236,273 $236,273
Basic Average Shares $426,931 $276,013 $192,451 $236,273
Diluted NI Availto Com Stockholders $-8,725,952 $-5,478,120 $-6,673,814 $-8,804,227
Tax Provision $0 $0 $0 -
Gain On Sale Of Security $332,325 - - -
Other Taxes $65,000 $-65,000 $-100,000 $0
Selling General And Administration $7,908,573 $5,015,372 $5,688,840 $6,132,759
Other Gand A $7,813,759 $4,575,672 $3,846,174 $5,027,820
Other Special Charges - - $-154,635 $154,635
Impairment Of Capital Assets - - $820,951 $2,276,159
Fetched: 2026-03-16
Balance Sheet (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Assets
Net Tangible Assets $-2,873,692 $827,697 $-8,137,077 $-3,560,985
Total Assets $1,114,683 $4,704,611 $454,163 $4,916,195
Total Non Current Assets $834,690 $1,218,955 $152,831 $60,972
Other Non Current Assets $24,000 $24,000 $8,000 $48,902
Non Current Deferred Assets $0 $65,000 $100,000 $0
Non Current Deferred Taxes Assets $0 $65,000 $100,000 $0
Goodwill And Other Intangible Assets $667,818 $916,434 $34,529 $0
Other Intangible Assets $667,818 $916,434 $34,529 -
Current Assets $279,993 $3,485,656 $301,332 $4,855,223
Prepaid Assets $23,554 $125,841 $13,841 $162,833
Receivables $75,168 $58,775 $15,670 $4,840
Accounts Receivable $75,168 $58,775 $15,670 $4,840
Cash Cash Equivalents And Short Term Investments $181,271 $3,232,540 $254,409 $4,687,550
Cash And Cash Equivalents $181,271 $1,123,529 $254,409 $4,687,550
Other Current Assets - $68,500 $17,412 -
Debt
Net Debt $249,759 $420,126 $7,097,671 $3,257,078
Total Debt $575,354 $1,771,716 $7,366,004 $7,988,413
Long Term Debt And Capital Lease Obligation $54,877 $144,325 $5,917,080 $7,944,628
Current Debt And Capital Lease Obligation $520,477 $1,627,391 $1,448,924 $43,785
Current Debt $431,030 $1,543,655 $1,435,000 -
Other Current Borrowings - $3,530 $1,315,000 -
Long Term Debt - - $5,917,080 $7,944,628
Liabilities
Total Liabilities Net Minority Interest $3,320,557 $2,960,480 $8,556,711 $8,477,180
Total Non Current Liabilities Net Minority Interest $54,877 $144,325 $5,917,080 $7,944,628
Current Liabilities $3,265,680 $2,816,155 $2,639,631 $532,552
Other Current Liabilities $35,190 - $9,894 $9,894
Current Deferred Liabilities $2,416 $4,282 $53,967 $98,509
Current Notes Payable $431,030 $3,530 $120,000 -
Payables And Accrued Expenses $2,707,597 $1,184,482 $1,126,846 $380,364
Interest Payable $261,767 $116,948 $0 -
Payables $2,251,307 $804,534 $614,158 $182,947
Accounts Payable $2,251,307 $804,534 $614,158 $182,947
Equity
Common Stock Equity $-2,205,874 $1,744,131 $-8,102,548 $-3,560,985
Total Equity Gross Minority Interest $-2,205,874 $1,744,131 $-8,102,548 $-3,560,985
Stockholders Equity $-2,205,874 $1,744,131 $-8,102,548 $-3,560,985
Other Equity Interest $-11 $-11 - -
Retained Earnings $-25,684,888 $-16,958,936 $-11,480,816 $-4,807,002
Other
Ordinary Shares Number $909,232 $276,011 $161,201 $161,201
Share Issued $909,232 $276,011 $161,201 $161,201
Tangible Book Value $-2,873,692 $827,697 $-8,137,077 $-3,560,985
Invested Capital $-1,774,844 $3,287,786 $-750,468 $4,383,643
Working Capital $-2,985,687 $669,501 $-2,338,299 $4,322,671
Capital Lease Obligations $144,324 $228,061 $13,924 $43,785
Total Capitalization $-2,205,874 $1,744,131 $-2,185,468 $4,383,643
Additional Paid In Capital $23,478,933 $18,701,752 $3,377,459 $1,245,267
Capital Stock $92 $1,326 $809 $750
Common Stock $92 $1,326 $809 $750
Preferred Stock $0 $0 - -
Long Term Capital Lease Obligation $54,877 $144,325 $0 -
Current Deferred Revenue $2,416 $4,282 $44,073 $66,549
Current Capital Lease Obligation $89,447 $83,736 $13,924 $43,785
Line Of Credit $0 $1,540,125 $0 -
Current Accrued Expenses $456,290 $379,948 $512,688 $197,417
Net PPE $142,872 $213,521 $10,302 $12,070
Accumulated Depreciation $-8,722 $-564 $-2,078 $-310
Gross PPE $151,594 $214,085 $12,380 $12,380
Machinery Furniture Equipment $21,430 $5,642 $12,380 $12,380
Buildings And Improvements $130,164 $208,443 $0 -
Properties $0 $0 $0 -
Other Short Term Investments $0 $2,109,011 $0 -
Treasury Shares Number - $0 - -
Fetched: 2026-03-16
Cash Flow Statement (Annual)
Metric 2024-12-31 2023-12-31 2022-12-31 2021-12-31
Free Cash Flow
Free Cash Flow $-3,082,115 $-5,917,541 $-5,783,941 $-6,815,761
Operating Activities
Operating Cash Flow $-3,066,327 $-4,848,373 $-4,928,461 $-5,729,483
Cash Flow From Continuing Operating Activities $-3,066,327 $-4,848,373 $-4,928,461 $-5,729,483
Operating Gains Losses $1,029,556 $8,742 - -
Investing Activities
Capital Expenditure $-15,788 $-1,069,168 $-855,480 $-1,086,278
Investing Cash Flow $2,117,598 $-3,178,179 $-855,480 $-1,086,278
Cash Flow From Continuing Investing Activities $2,117,598 $-3,178,179 $-855,480 $-1,086,278
Financing Activities
Issuance Of Capital Stock $522,033 $6,000,000 $0 $3,437,000
Financing Cash Flow $6,472 $8,895,671 $1,350,800 $10,452,434
Cash Flow From Continuing Financing Activities $6,472 $8,895,671 $1,350,800 $10,452,434
Cash Dividends Paid $0 $-800,000 $0 $-750,000
Common Stock Dividend Paid $0 $-800,000 $0 $-750,000
Net Common Stock Issuance $522,033 $6,000,000 $0 $3,437,000
Common Stock Issuance $522,033 $6,000,000 $0 $3,437,000
Net Other Financing Charges - $-1,023,120 - $-519,566
Other
Repayment Of Debt $-2,056,715 $-10,919,788 $0 -
Issuance Of Debt $1,303,376 $15,638,579 $1,350,800 $8,285,000
End Cash Position $181,271 $1,123,528 $254,409 $4,687,550
Beginning Cash Position $1,123,528 $254,409 $4,687,550 $1,050,877
Changes In Cash $-942,257 $869,119 $-4,433,141 $3,636,673
Proceeds From Stock Option Exercised $237,778 $0 - -
Net Issuance Payments Of Debt $-753,339 $4,718,791 $1,350,800 $8,285,000
Net Short Term Debt Issuance $-1,112,624 $1,540,125 $0 -
Short Term Debt Payments $-2,000,000 $0 - -
Short Term Debt Issuance $887,376 $1,540,125 $0 -
Net Long Term Debt Issuance $359,285 $3,178,666 $1,350,800 $8,285,000
Long Term Debt Payments $-56,715 $-10,919,788 $0 -
Long Term Debt Issuance $416,000 $14,098,454 $1,350,800 $8,285,000
Net Investment Purchase And Sale $2,109,011 $-2,109,011 $0 -
Sale Of Investment $2,109,011 - - -
Net Intangibles Purchase And Sale $24,375 $-1,063,526 $-855,480 $-1,073,898
Sale Of Intangibles $24,375 - - -
Net PPE Purchase And Sale $-15,788 $-5,642 $0 $-12,380
Purchase Of PPE $-15,788 $-5,642 $0 $-12,380
Change In Working Capital $1,871,295 $-183,440 $727,071 $246,539
Change In Other Working Capital $63,134 $-14,685 $-144,542 $-7,719
Change In Other Current Liabilities $-83,737 $214,137 $-29,861 $43,785
Change In Other Current Assets $78,279 $-208,443 $0 -
Change In Payables And Accrued Expense $1,659,225 $57,638 $746,482 $378,040
Change In Prepaid Assets $170,787 $-188,982 $172,482 $-162,727
Change In Receivables $-16,393 $-43,105 $-17,490 $-4,840
Changes In Account Receivables $-16,393 $-43,105 $-17,490 $-4,840
Other Non Cash Items $1,309,833 $72,777 $191,287 $24,559
Stock Based Compensation $1,216,542 $547,923 $152,251 $0
Depreciation Amortization Depletion $232,399 $183,745 $1,768 $372,852
Depreciation And Amortization $232,399 $183,745 $1,768 $372,852
Gain Loss On Investment Securities $1,029,556 - - -
Net Income From Continuing Operations $-8,725,952 $-5,478,120 $-6,673,814 $-8,804,227
Purchase Of Investment - $-2,109,011 $0 -
Purchase Of Intangibles - $-1,063,526 $-855,480 $-1,073,898
Unrealized Gain Loss On Investment Securities - $0 $-154,635 $154,635
Asset Impairment Charge - $0 $827,611 $2,276,159
Interest Paid Supplemental Data - - $0 $695
Change In Payable - - $724,416 $378,040
Change In Account Payable - - $746,482 $378,040
Fetched: 2026-03-16