About
Azure is fundamentally changing the construction industry by leveraging 3D printing technology using polymers.
- Los Angeles, United States of America
- Legal Name: Azure Printed Homes, INC.
- Company ID: 88-1535284
- Year Founded: 2022
- Industry: Construction
- Website: https://azureprintedhomes.com
- SEC Filings
Highlights
$40M
CF Valuation
$756K
Total Raised
$4.3M
Revenue
15
Employees
Indicators
Profit Margin
-28%
(-7.4%)
2022: -20.6%
Current Ratio
14.91
(1092.8%)
2022: 1.25
Revenue Growth
Financials
INCOME STATEMENT | 2023 | 2022 | 2021 | 2020 | TOTAL GROWTH |
---|---|---|---|---|---|
Revenue | $4,278,762 | $3,977,272 | $0 | — | 8% |
Cost of Goods Sold | -$1,646,333 | -$3,223,046 | $0 | — | -49% |
Gross Profit | $2,632,429 | $754,226 | $0 | — | 249% |
Other Costs | -$3,832,471 | -$1,572,419 | -$0 | — | 144% |
Taxes Paid | $0 | $0 | $0 | — | — |
Net Income | -$1,200,042 | -$818,193 | $0 | — | 47% |
BALANCE SHEET | 2023 | 2022 | 2021 | 2020 | TOTAL GROWTH |
---|---|---|---|---|---|
Cash | $385,537 | $59,225 | $0 | — | 551% |
Accounts Receivable | $86,638 | $122,448 | $0 | — | -29% |
Total Liquidity | $472,175 | $181,673 | $0 | — | 160% |
Other Assets | $1,912,227 | $364,208 | $0 | — | 425% |
Total Assets | $2,384,402 | $545,881 | $0 | — | 337% |
Short Term debt | $159,957 | $437,608 | $0 | — | -63% |
Long Term debt | $4,974,667 | $1,654,378 | $0 | — | 201% |
Total Debt | $5,134,624 | $2,091,986 | $0 | — | 145% |
Other Liabilities | -$2,750,222 | -$1,546,105 | $0 | — | 78% |
Total Liabilities | $2,384,402 | $545,881 | $0 | — | 337% |
Revenue Growth
Employee Growth
Financials
INCOME STATEMENT | 2023 | 2022 | 2021 | 2020 | TOTAL GROWTH |
---|---|---|---|---|---|
Revenue | $4,278,762 | $3,977,272 | $0 | — | 8% |
Cost of Goods Sold | -$1,646,333 | -$3,223,046 | $0 | — | -49% |
Gross Profit | $2,632,429 | $754,226 | $0 | — | 249% |
Other Costs | -$3,832,471 | -$1,572,419 | -$0 | — | 144% |
Taxes Paid | $0 | $0 | $0 | — | — |
Net Income | -$1,200,042 | -$818,193 | $0 | — | 47% |
BALANCE SHEET | 2023 | 2022 | 2021 | 2020 | TOTAL GROWTH |
---|---|---|---|---|---|
Cash | $385,537 | $59,225 | $0 | — | 551% |
Accounts Receivable | $86,638 | $122,448 | $0 | — | -29% |
Total Liquidity | $472,175 | $181,673 | $0 | — | 160% |
Other Assets | $1,912,227 | $364,208 | $0 | — | 425% |
Total Assets | $2,384,402 | $545,881 | $0 | — | 337% |
Short Term debt | $159,957 | $437,608 | $0 | — | -63% |
Long Term debt | $4,974,667 | $1,654,378 | $0 | — | 201% |
Total Debt | $5,134,624 | $2,091,986 | $0 | — | 145% |
Other Liabilities | -$2,750,222 | -$1,546,105 | $0 | — | 78% |
Total Liabilities | $2,384,402 | $545,881 | $0 | — | 337% |
INCOME STATEMENT | 2023 | 2022 | 2021 | 2020 | TOTAL GROWTH |
---|---|---|---|---|---|
Revenue | $4,278,762 | $3,977,272 | $0 | — | 8% |
Cost of Goods Sold | -$1,646,333 | -$3,223,046 | $0 | — | -49% |
Gross Profit | $2,632,429 | $754,226 | $0 | — | 249% |
Other Costs | -$3,832,471 | -$1,572,419 | -$0 | — | 144% |
Taxes Paid | $0 | $0 | $0 | — | — |
Net Income | -$1,200,042 | -$818,193 | $0 | — | 47% |
BALANCE SHEET | 2023 | 2022 | 2021 | 2020 | TOTAL GROWTH |
---|---|---|---|---|---|
Cash | $385,537 | $59,225 | $0 | — | 551% |
Accounts Receivable | $86,638 | $122,448 | $0 | — | -29% |
Total Liquidity | $472,175 | $181,673 | $0 | — | 160% |
Other Assets | $1,912,227 | $364,208 | $0 | — | 425% |
Total Assets | $2,384,402 | $545,881 | $0 | — | 337% |
Short Term debt | $159,957 | $437,608 | $0 | — | -63% |
Long Term debt | $4,974,667 | $1,654,378 | $0 | — | 201% |
Total Debt | $5,134,624 | $2,091,986 | $0 | — | 145% |
Other Liabilities | -$2,750,222 | -$1,546,105 | $0 | — | 78% |
Total Liabilities | $2,384,402 | $545,881 | $0 | — | 337% |
INCOME STATEMENT | 2023 | 2022 | 2021 | 2020 | TOTAL GROWTH |
---|---|---|---|---|---|
Revenue | $4,278,762 | $3,977,272 | $0 | — | 8% |
Cost of Goods Sold | -$1,646,333 | -$3,223,046 | $0 | — | -49% |
Gross Profit | $2,632,429 | $754,226 | $0 | — | 249% |
Other Costs | -$3,832,471 | -$1,572,419 | -$0 | — | 144% |
Taxes Paid | $0 | $0 | $0 | — | — |
Net Income | -$1,200,042 | -$818,193 | $0 | — | 47% |
BALANCE SHEET | 2023 | 2022 | 2021 | 2020 | TOTAL GROWTH |
---|---|---|---|---|---|
Cash | $385,537 | $59,225 | $0 | — | 551% |
Accounts Receivable | $86,638 | $122,448 | $0 | — | -29% |
Total Liquidity | $472,175 | $181,673 | $0 | — | 160% |
Other Assets | $1,912,227 | $364,208 | $0 | — | 425% |
Total Assets | $2,384,402 | $545,881 | $0 | — | 337% |
Short Term debt | $159,957 | $437,608 | $0 | — | -63% |
Long Term debt | $4,974,667 | $1,654,378 | $0 | — | 201% |
Total Debt | $5,134,624 | $2,091,986 | $0 | — | 145% |
Other Liabilities | -$2,750,222 | -$1,546,105 | $0 | — | 78% |
Total Liabilities | $2,384,402 | $545,881 | $0 | — | 337% |
INCOME STATEMENT | 2023 | 2022 | 2021 | 2020 | TOTAL GROWTH |
---|---|---|---|---|---|
Revenue | $4,278,762 | $3,977,272 | $0 | — | 8% |
Cost of Goods Sold | -$1,646,333 | -$3,223,046 | $0 | — | -49% |
Gross Profit | $2,632,429 | $754,226 | $0 | — | 249% |
Other Costs | -$3,832,471 | -$1,572,419 | -$0 | — | 144% |
Taxes Paid | $0 | $0 | $0 | — | — |
Net Income | -$1,200,042 | -$818,193 | $0 | — | 47% |
BALANCE SHEET | 2023 | 2022 | 2021 | 2020 | TOTAL GROWTH |
---|---|---|---|---|---|
Cash | $385,537 | $59,225 | $0 | — | 551% |
Accounts Receivable | $86,638 | $122,448 | $0 | — | -29% |
Total Liquidity | $472,175 | $181,673 | $0 | — | 160% |
Other Assets | $1,912,227 | $364,208 | $0 | — | 425% |
Total Assets | $2,384,402 | $545,881 | $0 | — | 337% |
Short Term debt | $159,957 | $437,608 | $0 | — | -63% |
Long Term debt | $4,974,667 | $1,654,378 | $0 | — | 201% |
Total Debt | $5,134,624 | $2,091,986 | $0 | — | 145% |
Other Liabilities | -$2,750,222 | -$1,546,105 | $0 | — | 78% |
Total Liabilities | $2,384,402 | $545,881 | $0 | — | 337% |
Indicators
Profit Margin
-28%
(-7.4%)
2022: -20.6%
Current Ratio
14.91
(1092.8%)
2022: 1.25
Efficiency Ratio
38.5%
(-52.5%)
2022: 81%
Key figures
INCOME STATEMENT | 2023 | 2022 | 2021 | 2020 |
---|---|---|---|---|
Revenue Growth | 8% | 45% | ∞ | ∞ |
Profit Margin | -28% | -21% | 0% | 0% |
Current Ratio | 15% | 1% | ∞ | ∞ |
Efficiency Ratio | 38% | 81% | ∞ | ∞ |
Solvency Ratio | -23% | -39% | ∞ | ∞ |
Debt Ratio | 215% | 383% | ∞ | ∞ |
Funding History
1 Funding Round
$755,991Total Raised
$40,000,000CF Valuation
—Valuation Growth
ROUND | STATUS | CLOSE DATE | RAISED | PLATFORM | SECURITY | TERMS | GROWTH | REGULATION | DAYS OPEN | START DATE |
---|---|---|---|---|---|---|---|---|---|---|
1. Closed | Closed | Apr 30, 2025 | $755,991 | Wefunder | SAFE | $40M cap | — | SEC Reg CF | 370 days | Apr 25, 2024 |