Skip to content
6-K/A

Foreign Interim / Material

Cheer Holding, Inc. CHR

0001213900-25-072323

← back to feed
Filed
Aug 6, 2025 12:00 AM ET
Period of report
Amendment. Amends a previously filed report.
Restated figures. One or more values in this filing restate previously reported amounts.

On SEC.gov

Financials in this filing

Metric Period Value
Shares Diluted restated Q2 2025 · Jun 30, 2025 11.58M sh
Shares Diluted Q2 2025 · Jun 30, 2024 10.06M sh
Operating Cash Flow Q2 2025 · Jun 30, 2025 $3.92M
Operating Cash Flow Q2 2025 · Jun 30, 2024 −$6.74M
Short Term Debt Q2 2025 · Jun 30, 2025 $7.58M
Short Term Debt Q2 2025 · Jun 30, 2024 $7.07M
Stockholders Equity Q2 2025 · Jun 30, 2025 $322.11M
Stockholders Equity Q2 2025 · Dec 31, 2024 $304.99M
Current Liabilities Q2 2025 · Jun 30, 2025 $39.04M
Current Liabilities Q2 2025 · Dec 31, 2024 $39.9M
Total Liabilities Q2 2025 · Jun 30, 2025 $40.56M
Total Liabilities Q2 2025 · Dec 31, 2024 $41.52M
Current Assets Q2 2025 · Jun 30, 2025 $323.54M
Current Assets Q2 2025 · Dec 31, 2024 $305.57M
Total Assets Q2 2025 · Jun 30, 2025 $362.75M
Total Assets Q2 2025 · Dec 31, 2024 $346.59M
Eps Diluted restated Q2 2025 · Jun 30, 2025 $0.67
Eps Diluted Q2 2025 · Jun 30, 2024 $1.23
Eps Basic restated Q2 2025 · Jun 30, 2025 $0.67
Eps Basic Q2 2025 · Jun 30, 2024 $1.23
Rd Expense Q2 2025 · Jun 30, 2025 $2.33M
Rd Expense Q2 2025 · Jun 30, 2024 $1.36M
Net Income restated Q2 2025 · Jun 30, 2025 $7.76M
Net Income Q2 2025 · Jun 30, 2024 $12.42M
Operating Income restated Q2 2025 · Jun 30, 2025 $8.32M
Operating Income Q2 2025 · Jun 30, 2024 $11.64M
Cost Of Revenue Q2 2025 · Jun 30, 2025 $20.77M
Cost Of Revenue Q2 2025 · Jun 30, 2024 $18.89M
Revenue Q2 2025 · Jun 30, 2025 $70.99M
Revenue Q2 2025 · Jun 30, 2024 $71.06M