Research paths
Real Messenger Corp
Real Messenger Corp financial metrics
Professional SEC-based dashboard for profitability, financial health, and growth with transparent scoring logic.
Latest period: Q3 2025 .
Public ticker
RMSG, RMSGW on Nasdaq
Latest financial report
26 May 2026
Company location
Costa Mesa, CA
Shareable Research Card
RMSG - Real Messenger Corp Financial Facts
RMSG - Real Messenger Corp has a source-backed company facts page for reviewing reported financial metrics, periods, and linked metric histories.
Start with the latest metric summary, then open metric histories or cross-company rankings to compare the same SEC-backed facts.
Context
Latest metrics period: Q3 2025
Latest reported value
Current Ratio 9.27x
Based on company facts extracted from SEC 10-Q/10-K XBRL filings where available. Open metric pages to inspect the reported history.
Return Loop
Why revisit this company facts page
Company facts change as new 10-Q and 10-K filings update the latest reported period, headline values, and cross-company comparison context.
Latest source-backed update
Latest metrics period Q3 2025
Why come back
Use the next filing cycle to compare new facts against this baseline and then verify the detailed metric history.
Current latest metrics period: Q3 2025.
Most recent SEC facts end date on this page: 30 Sep 2025.
Save this filer to return when the next filing-backed metric period changes the picture.
Freshness comes from the latest SEC company facts period available for this filer and the linked metric history pages.
Latest update
Latest update for RMSG - Real Messenger Corp
New fact period available
Latest financial period: Q1 2025. Reopen this facts page to verify the newest reported period against the prior baseline.
Update date
26 May 2026
Page type
Company facts
Latest period
Q3 2025
SEC-backed company facts were refreshed from filings filed on 26 May 2026.
Benchmark Context
How Current Ratio compares
Current Ratio does not yet have enough prior-period data for a historical comparison on this page.
Compared with
Compared with Real Messenger Corp's recent history first. Same-industry peer context appears only when enough SEC-backed benchmark coverage exists.
Why this is notable
Current Ratio already has a self-history signal here, but same-industry benchmark context waits until the benchmark sample is strong enough.
Latest comparable period on this page: Q3 2025.
Peer context will appear when enough companies report a comparable value for this metric.
Open the metric history first if you want to verify the exact period-to-period change.
Industry benchmark context uses SEC-reported values from the same methodology version. Latest periods may differ across companies.
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Key facts
RMSG - Real Messenger Corp financial facts are built from SEC company filings data.
Latest metrics period on this page: Q3 2025.
Headline metric: Current Ratio 9.27x.
Change
Current Ratio YoY change: .
Most recent SEC facts end date: 30 Sep 2025.
Research use
This gives a beginner-friendly first read before you inspect detailed formulas and metric tables.
Every metric card links to a deeper SEC-backed history page for verification.
Evidence
Based on latest 10-Q/10-K
Based on company facts extracted from SEC 10-Q/10-K XBRL filings where available. Open company facts to inspect the reported metric history.
View source filing
Latest SEC snapshot (2025-09-30) highlights Current Ratio 9.27x.
Valuation Snapshot
SEC-only DCF estimate using a normalized free cash flow base, cash, debt, and reported share count when available.
DCF value materially below price
Overvalued
Low confidence
-1273%
fair value gap
Fair value per share
$9.50
Market price
$0.8100
RMSG - Local security
PEG ratio
n/a
Enterprise value
$58.63M
Equity value
$57.78M
DCF fair value scenarios
Growth
1%
Discount
11%
Terminal
2%
Gap -971%
Growth
4%
Discount
10%
Terminal
2.5%
Gap -1273%
Growth
7%
Discount
9%
Terminal
3%
Gap -1748%
Base growth: DCF Growth Assumption.
Key valuation metrics
EV/Revenue
n/a
Local security market EV / SEC revenue
Revenue is unavailable or not positive
EV/EBITDA
n/a
Local security market EV / SEC EBITDA
Ebitda is unavailable or not positive
P/E
n/a
Local security market price / SEC EPS
Net income is unavailable or not positive
P/S
n/a
Local security market cap / SEC revenue
Revenue is unavailable or not positive
P/B
4.4x
Local security market cap / SEC equity
PEG
n/a
P/E / DCF Growth Assumption
P/e or positive growth is unavailable
Core assumptions
Projection
5 years
FCF growth
4%
Discount rate
10%
Terminal growth
2.5%
SEC fact inputs
DCF base FCF
$4.03M
Trailing SEC FCF
Reported FCF
$4.03M
Net income
$3.38M
EBITDA
$3.37M
Cash
$846.2K
Debt
n/a
Equity
$1.11M
Shares
6,080,847
Data confidence notes
Dcf base free cash flow: dcf base starts from trailing sec free cash flow
Dcf base free cash flow: trailing free cash flow is not positive
Dcf confidence is low for this sec-only free cash flow estimate
Debt missing: equity value treats debt as 0
Base free cash flow is negative; dcf output is mechanically computed but high risk
Peg unavailable: earnings per share is not positive
Financial Quality Score
Transparent 0-100 scoring model based on profitability, financial health, and growth factors.
21.6/100
Weak
Confidence low
Financial Health
Current Ratio
9.27x
Strengths
No strong signals yet.
Watchpoints
Current Ratio
Financial Health
Metric
Latest value
YoY change
Calendar period
Fiscal period
Unit
Current Ratio
9.27x
Q3 2025
x
Supporting Metrics
These supporting metrics stay fully source-backed for deeper research. Scan the latest value and reported period first, then open a metric page when you need the full filing trail.
Metric
Latest value
YoY change
Calendar period
Fiscal period
Unit
Accumulated Other Comprehensive Income (Loss), Net of Tax
$16,646
Q3 2025
USD
Additional Paid in Capital
$23,599,903
Q3 2025
USD
Assets
$1,343,376
Q3 2025
USD
Assets, Current
$1,076,742
Q3 2025
USD
Cash and Cash Equivalents, at Carrying Value
$846,174
Q3 2025
USD
Common Stock, Shares Authorized
500,000,000
Q3 2025
shares
Deferred Tax Assets, Operating Loss Carryforwards
$3,827,711
Q3 2025
USD
Deferred Tax Assets, Valuation Allowance
$3,901,011
Q3 2025
USD
Lessee, Operating Lease, Liability, to be Paid
$209,317
Q3 2025
USD
Lessee, Operating Lease, Liability, to be Paid, Year One
$87,367
Q3 2025
USD
Lessee, Operating Lease, Liability, to be Paid, Year Two
$34,583
Q3 2025
USD
Lessee, Operating Lease, Liability, Undiscounted Excess Amount
$12,175
Q3 2025
USD
Liabilities
$232,503
Q3 2025
USD
Liabilities and Equity
$1,343,376
Q3 2025
USD
Liabilities, Current
$116,174
Q3 2025
USD
Operating Lease, Liability
$197,142
Q3 2025
USD
Operating Lease, Liability, Current
$80,813
Q3 2025
USD
Operating Lease, Liability, Noncurrent
$116,329
Q3 2025
USD
Operating Lease, Right-of-Use Asset
$191,327
Q3 2025
USD
Operating Lease, Weighted Average Discount Rate, Percent
0.0525
Q3 2025
pure
Other Assets, Current
$107,728
Q3 2025
USD
Property, Plant and Equipment, Gross
$170,523
Q3 2025
USD
Property, Plant and Equipment, Net
$75,307
Q3 2025
USD
Retained Earnings (Accumulated Deficit)
$22,506,556
Q3 2025
USD
Stockholders' Equity Attributable to Parent
$1,110,873
Q3 2025
USD
How we score
This score is transparent and deterministic. We weight profitability, financial health, and growth metrics, then renormalize weights when SEC data is missing.
Metric
Weight
V1 threshold
ROIC 20 5% to 20%
ROE 15 8% to 25%
ROA 10 2% to 10%
Operating Margin 5 5% to 25%
Current Ratio 12 1.0x to 2.0x
Quick Ratio 8 0.8x to 1.5x
Debt to Equity 10 0.3x to 2.0x (lower is better)
Revenue YoY 10 -10% to +20%
Net Income YoY 10 -10% to +20%
How Calculated (standard_v1)
Metrics are computed with a market-consensus convention designed for cross-portal comparability.
TTM Operating Income / TTM Revenues
Current Assets / Current Liabilities (latest instant quarter)
(Current Assets - Inventory) / Current Liabilities; fallback: (Cash+Short-Term Investments + Accounts Receivable) / Current Liabilities
Total Debt / Stockholders Equity (latest instant quarter; shared unit; freshest series)
TTM Net Income / Average Equity (current quarter + same quarter previous year) / 2
TTM Net Income / Average Assets (current quarter + same quarter previous year) / 2
TTM NOPAT / Average Invested Capital, where NOPAT=Operating Income*(1-tax rate), Invested Capital=Equity+Total Debt-Cash & ST Investments
TTM Revenues YoY
TTM Net Income YoY
CIK / security context first
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