SEC restatements
Companies revised these figures a median of 363 days after first reporting them.
A revision arrives in an ordinary filing and replaces the old figure everywhere it is quoted. Nothing announces it. This page keeps both figures, the date each was filed, and the filing that changed it.
- Figures revised
- 200
- Companies
- 40
- Median days to revision
- 363
- Rebuilt
- Sep 23, 2026, 19:18 UTC
- Showing
- 200 of 210 in 60 days
Aug 21, 20261 revision
- BLISRestatement
Equity, period ended Apr 30, 2024
Revised from$714.67Kto$769.27K+7.64%
Originally reported Aug 13, 2024EDGAR0001199835-26-000302
Aug 20, 20263 revisions
FLUXRestatement2 figuresCash, Property, plant & equipment, all in one filing.Show all 2Hide
Cash, period ended Jun 30, 2025
Revised from$1.33Mto$1.30M-2.55%
Originally reported Sep 17, 2025EDGAR0001493152-26-039471
Property, plant & equipment, period ended Jun 30, 2025
Revised from$1.55Mto$708.00K-54.44%
Originally reported Sep 17, 2025EDGAR0001493152-26-039471
- PSECRestatement
Retained earnings, period ended Jun 30, 2025
Revised from$-1.25Bto$-1.19B+4.76%
Originally reported Aug 26, 2025EDGAR0001287032-26-000269
Aug 19, 202660 revisions
CRMZRestatement14 figuresReceivables, Equity, Operating income and 4 more, all in one filing.Show all 14Hide
Receivables, period ended Dec 31, 2023
Revised from$3.94Mto$3.90M-1.04%
Originally reported Mar 21, 2024EDGAR0001140361-26-033719
Equity, period ended Dec 31, 2023
Revised from$9.37Mto$8.75M-6.60%
Originally reported Mar 21, 2024EDGAR0001140361-26-033719
Operating income, period ended Dec 31, 2024
Revised from$1.25Mto$736.40K-41.07%
Originally reported Mar 20, 2025EDGAR0001140361-26-033719
Total liabilities, period ended Dec 31, 2024
Revised from$13.77Mto$14.76M+7.16%
Originally reported Mar 20, 2025EDGAR0001140361-26-033719
Current liabilities, period ended Dec 31, 2024
Revised from$13.14Mto$14.40M+9.59%
Originally reported Mar 20, 2025EDGAR0001140361-26-033719
Net income, period ended Dec 31, 2024
Revised from$1.67Mto$1.31M-21.99%
Originally reported Mar 20, 2025EDGAR0001140361-26-033719
Retained earnings, period ended Dec 31, 2024
Revised from$-19.07Mto$-20.06M-5.17%
Originally reported Mar 20, 2025EDGAR0001140361-26-033719
Equity, period ended Dec 31, 2024
Revised from$11.14Mto$10.16M-8.85%
Originally reported Mar 20, 2025EDGAR0001140361-26-033719
Operating income, period ended Dec 31, 2025
Revised from$582.03Kto$80.59K-86.15%
Originally reported Mar 24, 2026EDGAR0001140361-26-033719
Total liabilities, period ended Dec 31, 2025
Revised from$13.88Mto$15.43M+11.18%
Originally reported Mar 24, 2026EDGAR0001140361-26-033719
Current liabilities, period ended Dec 31, 2025
Revised from$13.29Mto$15.20M+14.35%
Originally reported Mar 24, 2026EDGAR0001140361-26-033719
Net income, period ended Dec 31, 2025
Revised from$1.02Mto$511.16K-49.78%
Originally reported Mar 24, 2026EDGAR0001140361-26-033719
Retained earnings, period ended Dec 31, 2025
Revised from$-18.05Mto$-19.55M-8.27%
Originally reported Mar 24, 2026EDGAR0001140361-26-033719
Equity, period ended Dec 31, 2025
Revised from$12.35Mto$10.86M-12.08%
Originally reported Mar 24, 2026EDGAR0001140361-26-033719
- OPTTRestatement
Net income, period ended Apr 30, 2025
Revised from$-21.51Mto$-24.47M-13.74%
Originally reported Jul 24, 2025EDGAR0001493152-26-039261
- INBSRestatement
Interest expense, period ended Jun 30, 2025
Revised from$60.89Kto$26.34K-56.74%
Originally reported Aug 15, 2025EDGAR0001493152-26-039136
BKVRestatement44 figuresTotal assets, Current assets, Cash and 15 more, all in one filing.Show all 44Hide
Total assets, period ended Dec 31, 2024
Revised from$2.23Bto$3.10B+38.89%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Current assets, period ended Dec 31, 2024
Revised from$94.61Mto$234.98M+148.37%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Cash, period ended Dec 31, 2023
Revised from$25.41Mto$105.01M+313.32%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Cash, period ended Dec 31, 2024
Revised from$14.87Mto$81.22M+446.29%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Cash, period ended Dec 31, 2022
Revised from$153.13Mto$166.48M+8.72%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Depreciation & amortization, period ended Dec 31, 2023
Revised from$224.43Mto$256.18M+14.15%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Depreciation & amortization, period ended Dec 31, 2024
Revised from$217.89Mto$255.86M+17.42%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Operating income, period ended Dec 31, 2023
Revised from$157.62Mto$241.15M+52.99%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Operating income, period ended Dec 31, 2024
Revised from$-154.80Mto$-64.24M+58.50%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Inventory, period ended Dec 31, 2024
Revised from$6.25Mto$20.13M+221.82%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Total liabilities, period ended Dec 31, 2024
Revised from$671.51Mto$1.55B+130.26%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Current liabilities, period ended Dec 31, 2024
Revised from$166.21Mto$236.71M+42.42%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Financing cash flow, period ended Dec 31, 2023
Revised from$66.71Mto$498.49M+647.21%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Financing cash flow, period ended Dec 31, 2024
Revised from$-304.81Mto$-314.81M-3.28%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Investing cash flow, period ended Dec 31, 2023
Revised from$-177.85Mto$-663.11M-272.85%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Investing cash flow, period ended Dec 31, 2024
Revised from$36.07Mto$34.27M-4.99%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Operating cash flow, period ended Dec 31, 2023
Revised from$123.08Mto$260.27M+111.47%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Operating cash flow, period ended Dec 31, 2024
Revised from$118.54Mto$115.41M-2.64%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Net income, period ended Dec 31, 2023
Revised from$116.92Mto$123.56M+5.68%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Net income, period ended Dec 31, 2024
Revised from$-142.87Mto$-138.65M+2.95%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Retained earnings, period ended Dec 31, 2024
Revised from$117.05Mto$131.32M+12.18%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Equity, period ended Dec 31, 2024
Revised from$1.56Bto$1.50B-3.78%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Total assets, period ended Dec 31, 2025
Revised from$3.13Bto$3.94B+25.87%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Current assets, period ended Dec 31, 2025
Revised from$387.88Mto$511.36M+31.83%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Cash, period ended Dec 31, 2025
Revised from$199.41Mto$248.43M+24.58%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Depreciation & amortization, period ended Dec 31, 2025
Revised from$158.95Mto$197.22M+24.08%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Operating income, period ended Dec 31, 2025
Revised from$217.61Mto$303.71M+39.56%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Inventory, period ended Dec 31, 2025
Revised from$6.07Mto$20.04M+230.02%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Total liabilities, period ended Dec 31, 2025
Revised from$1.07Bto$1.87B+75.10%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Current liabilities, period ended Dec 31, 2025
Revised from$217.89Mto$564.59M+159.12%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Financing cash flow, period ended Dec 31, 2025
Revised from$506.74Mto$463.26M-8.58%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Investing cash flow, period ended Dec 31, 2025
Revised from$-564.90Mto$-576.36M-2.03%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Operating cash flow, period ended Dec 31, 2025
Revised from$242.71Mto$280.37M+15.52%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Net income, period ended Dec 31, 2025
Revised from$173.13Mto$179.16M+3.48%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
CapEx, period ended Dec 31, 2023
Revised from$187.72Mto$201.51M+7.35%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
CapEx, period ended Dec 31, 2024
Revised from$100.92Mto$105.36M+4.40%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
CapEx, period ended Dec 31, 2025
Revised from$300.17Mto$305.12M+1.65%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Retained earnings, period ended Dec 31, 2025
Revised from$288.76Mto$309.05M+7.03%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Equity, period ended Dec 31, 2025
Revised from$2.04Bto$1.99B-2.59%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Accounts payable, period ended Dec 31, 2024
Revised from$53.24Mto$75.15M+41.16%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Accounts payable, period ended Dec 31, 2025
Revised from$84.41Mto$100.43M+18.99%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Long-term debt, period ended Dec 31, 2024
Revised from$165.00Mto$859.20M+420.73%
Originally reported Mar 31, 2025EDGAR0001104659-26-098821
Long-term debt, period ended Dec 31, 2025
Revised from$486.78Mto$1.14B+133.81%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Revenue, period ended Dec 31, 2025
Revised from$893.78Mto$1.14B+27.63%
Originally reported Mar 6, 2026EDGAR0001104659-26-098821
Aug 18, 20267 revisions
MOBXWRestatement2 figuresOperating cash flow, all in one filing.Show all 2Hide
Operating cash flow, period ended Sep 30, 2024
Revised from$-18.39Mto$18.39M+200.00%
Originally reported Dec 26, 2024EDGAR0001493152-26-038848
Operating cash flow, period ended Sep 30, 2025
Revised from$-10.11Mto$10.11M+200.00%
Originally reported Jan 13, 2026EDGAR0001493152-26-038848
INFQRestatement5 figuresOperating cash flow, Net income, Operating income, all in one filing.Show all 5Hide
Operating cash flow, period ended Dec 31, 2025
Revised from$-2.27Mto$-24.14M-962.38%
Originally reported Mar 31, 2026EDGAR0001628280-26-057508
Net income, period ended Dec 31, 2024
Revised from$-51.91Kto$-55.74M-107282.01%
Originally reported Mar 31, 2026EDGAR0001628280-26-057508
Net income, period ended Dec 31, 2025
Revised from$-66.93Mto$-32.23M+51.85%
Originally reported Mar 31, 2026EDGAR0001628280-26-057508
Operating income, period ended Dec 31, 2024
Revised from$-51.91Kto$-54.99M-105825.64%
Originally reported Mar 31, 2026EDGAR0001628280-26-057508
Operating income, period ended Dec 31, 2025
Revised from$-8.04Mto$-35.72M-344.53%
Originally reported Mar 31, 2026EDGAR0001628280-26-057508
Aug 17, 202614 revisions
GURERestatement13 figuresEquity, Net income, Shares outstanding and 9 more, all in one filing.Show all 13Hide
Equity, period ended Dec 31, 2022
Revised from$271.62Mto$205.25M-24.44%
Originally reported Mar 31, 2023EDGAR0001193805-26-001105
Net income, period ended Dec 31, 2023
Revised from$-61.80Mto$-59.90M+3.07%
Originally reported Sep 27, 2024EDGAR0001193805-26-001105
Shares outstanding, period ended Dec 31, 2024
Revised from10.73M sharesto1.09M shares-89.82%
Originally reported Apr 11, 2025EDGAR0001193805-26-001105
Depreciation & amortization, period ended Dec 31, 2024
Revised from$15.82Mto$18.87M+19.25%
Originally reported Jul 27, 2026EDGAR0001193805-26-001105
Operating income, period ended Dec 31, 2024
Revised from$-21.28Mto$-22.25M-4.53%
Originally reported Apr 11, 2025EDGAR0001193805-26-001105
Total liabilities, period ended Dec 31, 2024
Revised from$25.75Mto$25.01M-2.87%
Originally reported Apr 11, 2025EDGAR0001193805-26-001105
Current liabilities, period ended Dec 31, 2024
Revised from$17.73Mto$12.98M-26.81%
Originally reported Apr 11, 2025EDGAR0001193805-26-001105
Financing cash flow, period ended Dec 31, 2024
Revised from$-249.24Kto$-31.85M-12679.57%
Originally reported Apr 11, 2025EDGAR0001193805-26-001105
Investing cash flow, period ended Dec 31, 2024
Revised from$-60.55Mto$-28.95M+52.19%
Originally reported Apr 11, 2025EDGAR0001193805-26-001105
Net income, period ended Dec 31, 2024
Revised from$-58.94Mto$-59.90M-1.64%
Originally reported Apr 11, 2025EDGAR0001193805-26-001105
CapEx, period ended Dec 31, 2024
Revised from$60.53Mto$28.92M-52.21%
Originally reported Apr 11, 2025EDGAR0001193805-26-001105
Property, plant & equipment, period ended Dec 31, 2024
Revised from$136.14Mto$89.43M-34.31%
Originally reported Apr 11, 2025EDGAR0001193805-26-001105
Weighted average shares (basic), period ended Dec 31, 2024
Revised from10.73M sharesto1.09M shares-89.82%
Originally reported Apr 11, 2025EDGAR0001193805-26-001105
- RGBPRestatement
Net income, period ended Sep 30, 2025
Revised from$-702.03Kto$-1.27M-81.54%
Originally reported Aug 11, 2025EDGAR0001493152-26-038576
Aug 14, 202617 revisions
WDCRestatement5 figuresEquity, Cost of revenue, Gross profit and 2 more, all in one filing.Show all 5Hide
Equity, period ended Jun 30, 2023
Revised from$10.85Bto$10.96B+1.08%
Originally reported Aug 22, 2023EDGAR0001628280-26-057139
Cost of revenue, period ended Jun 28, 2024
Revised from$10.06Bto$4.54B-54.82%
Originally reported Aug 20, 2024EDGAR0001628280-26-057139
Gross profit, period ended Jun 28, 2024
Revised from$2.94Bto$1.77B-39.80%
Originally reported Aug 20, 2024EDGAR0001628280-26-057139
Operating income, period ended Jun 28, 2024
Revised from$-317.00Mto$-403.00M-27.13%
Originally reported Aug 20, 2024EDGAR0001628280-26-057139
Revenue, period ended Jun 28, 2024
Revised from$13.00Bto$6.32B-51.42%
Originally reported Aug 20, 2024EDGAR0001628280-26-057139
- SXIRestatement
Receivables, period ended Jun 30, 2024
Revised from$121.36Mto$123.40M+1.68%
Originally reported Aug 2, 2024EDGAR0001437749-26-027789
- QPRCRestatement
Net income, period ended Dec 31, 2025
Revised from$-8.49Mto$2.00M+123.55%
Originally reported Mar 30, 2026EDGAR0001213900-26-090145
- ATLXRestatement
Depreciation & amortization, period ended Dec 31, 2024
Revised from$198.62Kto$43.87K-77.92%
Originally reported Mar 14, 2025EDGAR0001493152-26-038339
- TEAMRestatement
CapEx, period ended Jun 30, 2024
Revised from$32.58Mto$33.11M+1.64%
Originally reported Aug 16, 2024EDGAR0001650372-26-000036
- BNKKRestatement
Amortization of intangibles, period ended Dec 31, 2025
Revised from$571.36Kto$119.15K-79.15%
Originally reported Mar 31, 2026EDGAR0001493152-26-038241
OWLTWRestatement6 figuresGross profit, Operating income, Net income and 1 more, all in one filing.Show all 6Hide
Gross profit, period ended Dec 31, 2024
Revised from$39.31Mto$38.66M-1.65%
Originally reported Mar 11, 2025EDGAR0001816708-26-000090
Operating income, period ended Dec 31, 2024
Revised from$-20.22Mto$-20.71M-2.44%
Originally reported Mar 11, 2025EDGAR0001816708-26-000090
Net income, period ended Dec 31, 2024
Revised from$-12.54Mto$-12.70M-1.34%
Originally reported Mar 11, 2025EDGAR0001816708-26-000090
R&D expense, period ended Dec 31, 2024
Revised from$9.80Mto$9.69M-1.18%
Originally reported Mar 11, 2025EDGAR0001816708-26-000090
Operating income, period ended Dec 31, 2025
Revised from$-8.26Mto$-7.42M+10.23%
Originally reported Mar 9, 2026EDGAR0001816708-26-000090
Net income, period ended Dec 31, 2025
Revised from$-39.68Mto$-38.83M+2.13%
Originally reported Mar 9, 2026EDGAR0001816708-26-000090
- KLTORestatement
Equity, period ended Dec 31, 2023
Revised from$-7.35Mto$-442.70K+93.98%
Originally reported Apr 17, 2024EDGAR0001213900-26-090213
Aug 13, 20265 revisions
CIK 0000928953Restatement5 figuresCash, Cost of revenue, Operating income and 2 more, all in one filing.Show all 5Hide
Cash, period ended Dec 31, 2023
Revised from$1.33Mto$145.00K-89.13%
Originally reported Jun 15, 2026EDGAR0001437749-26-027474
Cost of revenue, period ended Dec 31, 2023
Revised from$8.42Mto$203.00K-97.59%
Originally reported Jun 15, 2026EDGAR0001437749-26-027474
Operating income, period ended Dec 31, 2023
Revised from$-3.91Mto$-223.00K+94.30%
Originally reported Jun 15, 2026EDGAR0001437749-26-027474
Interest expense, period ended Dec 31, 2023
Revised from$33.00Kto$20.00K-39.39%
Originally reported Jun 15, 2026EDGAR0001437749-26-027474
Operating cash flow, period ended Dec 31, 2023
Revised from$-310.00Kto$3.63M+1270.32%
Originally reported Jun 15, 2026EDGAR0001437749-26-027474
Aug 12, 202615 revisions
USAQRestatement2 figuresOperating cash flow, Net income, all in one filing.Show all 2Hide
Operating cash flow, period ended Dec 31, 2025
Revised from$178.12Kto$-178.12K-200.00%
Originally reported Mar 30, 2026EDGAR0001493152-26-037255
Net income, period ended Dec 31, 2025
Revised from$457.42Kto$-457.42K-200.00%
Originally reported Mar 30, 2026EDGAR0001493152-26-037255
- PFGCRestatement
Acquisitions, period ended Jun 29, 2024
Revised from$579.00Mto$307.70M-46.86%
Originally reported Aug 14, 2024EDGAR0001193125-26-346886
BAFNRestatement12 figuresEquity, Operating income, Net income and 4 more, all in one filing.Show all 12Hide
Equity, period ended Dec 31, 2023
Revised from$100.71Mto$98.76M-1.93%
Originally reported Mar 28, 2024EDGAR0001649739-26-000049
Operating income, period ended Dec 31, 2024
Revised from$16.99Mto$13.78M-18.90%
Originally reported Mar 25, 2025EDGAR0001649739-26-000049
Net income, period ended Dec 31, 2024
Revised from$12.60Mto$10.19M-19.15%
Originally reported Mar 25, 2025EDGAR0001649739-26-000049
Retained earnings, period ended Dec 31, 2024
Revised from$44.13Mto$39.77M-9.88%
Originally reported Mar 25, 2025EDGAR0001649739-26-000049
Equity, period ended Dec 31, 2024
Revised from$110.92Mto$106.56M-3.93%
Originally reported Mar 25, 2025EDGAR0001649739-26-000049
Operating income, period ended Dec 31, 2025
Revised from$-30.83Mto$-33.02M-7.10%
Originally reported Mar 27, 2026EDGAR0001649739-26-000049
Investing cash flow, period ended Dec 31, 2025
Revised from$-194.94Mto$-198.48M-1.82%
Originally reported Mar 27, 2026EDGAR0001649739-26-000049
Operating cash flow, period ended Dec 31, 2025
Revised from$285.30Mto$288.83M+1.24%
Originally reported Mar 27, 2026EDGAR0001649739-26-000049
Net income, period ended Dec 31, 2025
Revised from$-22.94Mto$-24.57M-7.10%
Originally reported Mar 27, 2026EDGAR0001649739-26-000049
Retained earnings, period ended Dec 31, 2025
Revised from$19.76Mto$13.77M-30.30%
Originally reported Mar 27, 2026EDGAR0001649739-26-000049
Equity, period ended Dec 31, 2025
Revised from$87.57Mto$81.58M-6.84%
Originally reported Mar 27, 2026EDGAR0001649739-26-000049
Weighted average shares (diluted), period ended Dec 31, 2024
Revised from4.59M sharesto4.13M shares-9.93%
Originally reported Mar 25, 2025EDGAR0001649739-26-000049
Aug 11, 20263 revisions
- EFOIRestatement
Net income, period ended Dec 31, 2025
Revised from$-1.03Mto$-1.00M+2.63%
Originally reported Mar 24, 2026EDGAR0001628280-26-055517
- CIK 0001138724Restatement
Operating income, period ended Dec 31, 2024
Revised from$-235.37Kto$-286.25K-21.62%
Originally reported Sep 29, 2025EDGAR0001493152-26-037140
- BCRDRestatement
Depreciation & amortization, period ended Mar 31, 2026
Revised from$3.03Mto$23.64K-99.22%
Originally reported Jul 14, 2026EDGAR0001683168-26-006192
Aug 10, 202610 revisions
- NEPHRestatement
Operating cash flow, period ended Dec 31, 2025
Revised from$1.65Mto$1.60M-2.74%
Originally reported Mar 12, 2026EDGAR0001493152-26-036851
- CNNERestatement
Net income, period ended Dec 31, 2025
Revised from$-513.20Mto$-525.00M-2.30%
Originally reported Mar 2, 2026EDGAR0001704720-26-000153
NABLRestatement7 figuresNet income, Property, plant & equipment, Operating income and 2 more, all in one filing.Show all 7Hide
Net income, period ended Dec 31, 2023
Revised from$23.41Mto$23.82M+1.73%
Originally reported Feb 29, 2024EDGAR0001834488-26-000046
Property, plant & equipment, period ended Dec 31, 2024
Revised from$36.16Mto$36.56M+1.10%
Originally reported Mar 7, 2025EDGAR0001834488-26-000046
Operating income, period ended Dec 31, 2025
Revised from$36.79Mto$33.90M-7.86%
Originally reported Feb 26, 2026EDGAR0001834488-26-000046
Current liabilities, period ended Dec 31, 2025
Revised from$181.81Mto$184.24M+1.33%
Originally reported Feb 26, 2026EDGAR0001834488-26-000046
Net income, period ended Dec 31, 2025
Revised from$-17.03Mto$-18.82M-10.47%
Originally reported Feb 26, 2026EDGAR0001834488-26-000046
Property, plant & equipment, period ended Dec 31, 2025
Revised from$37.96Mto$38.39M+1.13%
Originally reported Feb 26, 2026EDGAR0001834488-26-000046
Retained earnings, period ended Dec 31, 2025
Revised from$54.17Mto$52.74M-2.64%
Originally reported Feb 26, 2026EDGAR0001834488-26-000046
- NTHIRestatement
Weighted average shares (diluted), period ended Dec 31, 2025
Revised from19.40M sharesto22.00M shares+13.41%
Originally reported Mar 31, 2026EDGAR0001829126-26-008512
Aug 7, 202635 revisions
- LRCXRestatement
Goodwill, period ended Jun 29, 2025
Revised from$1.60Bto$1.63B+1.88%
Originally reported Aug 11, 2025EDGAR0000707549-26-000037
NWSLLRestatement7 figuresCash, Depreciation & amortization, Goodwill and 4 more, all in one filing.Show all 7Hide
Cash, period ended Jun 30, 2024
Revised from$1.96Bto$1.87B-4.49%
Originally reported Aug 13, 2024EDGAR0001564708-26-000175
Depreciation & amortization, period ended Jun 30, 2024
Revised from$734.00Mto$440.00M-40.05%
Originally reported Aug 13, 2024EDGAR0001564708-26-000175
Goodwill, period ended Jun 30, 2024
Revised from$5.19Bto$4.34B-16.39%
Originally reported Aug 13, 2024EDGAR0001564708-26-000175
Operating income, period ended Jun 30, 2024
Revised from$546.00Mto$585.00M+7.14%
Originally reported Aug 13, 2024EDGAR0001564708-26-000175
CapEx, period ended Jun 30, 2024
Revised from$496.00Mto$357.00M-28.02%
Originally reported Aug 13, 2024EDGAR0001564708-26-000175
Revenue, period ended Jun 30, 2024
Revised from$10.09Bto$8.25B-18.18%
Originally reported Aug 13, 2024EDGAR0001564708-26-000175
Amortization of intangibles, period ended Jun 30, 2024
Revised from$154.00Mto$99.00M-35.71%
Originally reported Aug 13, 2024EDGAR0001564708-26-000175
RRRestatement27 figuresCost of revenue, Operating income, Inventory and 12 more, all in one filing.Show all 27Hide
Cost of revenue, period ended Sep 30, 2024
Revised from$1.52Mto$1.54M+1.12%
Originally reported Jan 14, 2025EDGAR0001213900-26-086751
Operating income, period ended Sep 30, 2024
Revised from$-7.07Mto$-7.78M-10.00%
Originally reported Jan 14, 2025EDGAR0001213900-26-086751
Inventory, period ended Sep 30, 2024
Revised from$1.15Mto$1.03M-10.45%
Originally reported Jan 14, 2025EDGAR0001213900-26-086751
Total liabilities, period ended Sep 30, 2024
Revised from$913.00Kto$7.96M+771.96%
Originally reported Jan 14, 2025EDGAR0001213900-26-086751
Current liabilities, period ended Sep 30, 2024
Revised from$455.00Kto$7.39M+1525.27%
Originally reported Jan 14, 2025EDGAR0001213900-26-086751
Operating cash flow, period ended Sep 30, 2024
Revised from$-5.06Mto$-4.94M+2.35%
Originally reported Jan 14, 2025EDGAR0001213900-26-086751
Net income, period ended Sep 30, 2024
Revised from$-8.14Mto$-1.37M+83.19%
Originally reported Jan 14, 2025EDGAR0001213900-26-086751
CapEx, period ended Sep 30, 2024
Revised from$725.00Kto$844.00K+16.41%
Originally reported Jan 14, 2025EDGAR0001213900-26-086751
Property, plant & equipment, period ended Sep 30, 2024
Revised from$738.00Kto$842.00K+14.09%
Originally reported Jan 14, 2025EDGAR0001213900-26-086751
R&D expense, period ended Sep 30, 2024
Revised from$2.02Mto$2.63M+30.38%
Originally reported Jan 14, 2025EDGAR0001213900-26-086751
Retained earnings, period ended Sep 30, 2024
Revised from$-7.94Mto$-1.17M+85.30%
Originally reported Jan 14, 2025EDGAR0001213900-26-086751
Equity, period ended Sep 30, 2024
Revised from$41.74Mto$33.89M-18.81%
Originally reported Jan 14, 2025EDGAR0001213900-26-086751
Cash, period ended Sep 30, 2025
Revised from$193.63Mto$185.57M-4.16%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Cost of revenue, period ended Sep 30, 2025
Revised from$1.76Mto$3.23M+84.23%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Gross profit, period ended Sep 30, 2025
Revised from$3.29Mto$1.81M-44.97%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Operating income, period ended Sep 30, 2025
Revised from$-17.94Mto$-17.20M+4.15%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Inventory, period ended Sep 30, 2025
Revised from$1.38Mto$1.12M-18.55%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Total liabilities, period ended Sep 30, 2025
Revised from$2.92Mto$22.21M+659.28%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Current liabilities, period ended Sep 30, 2025
Revised from$2.38Mto$21.66M+810.93%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Investing cash flow, period ended Sep 30, 2025
Revised from$-48.00Mto$-56.18M-17.06%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Operating cash flow, period ended Sep 30, 2025
Revised from$-9.04Mto$-8.91M+1.46%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Net income, period ended Sep 30, 2025
Revised from$-15.75Mto$-49.07M-211.50%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
CapEx, period ended Sep 30, 2025
Revised from$5.01Mto$5.14M+2.70%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Property, plant & equipment, period ended Sep 30, 2025
Revised from$5.58Mto$5.79M+3.85%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
R&D expense, period ended Sep 30, 2025
Revised from$2.43Mto$3.30M+35.77%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Retained earnings, period ended Sep 30, 2025
Revised from$-23.69Mto$-50.24M-112.05%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Equity, period ended Sep 30, 2025
Revised from$269.88Mto$250.87M-7.04%
Originally reported Jan 20, 2026EDGAR0001213900-26-086751
Aug 6, 20266 revisions
SCTHRestatement6 figuresEquity, Receivables, Total assets and 2 more, all in one filing.Show all 6Hide
Equity, period ended Dec 31, 2023
Revised from$-148.87Kto$148.87K+200.00%
Originally reported May 1, 2024EDGAR0001017386-26-000101
Receivables, period ended Dec 31, 2025
Revised from$3.12Mto$1.93M-38.00%
Originally reported Mar 25, 2026EDGAR0001017386-26-000101
Total assets, period ended Dec 31, 2025
Revised from$18.89Mto$19.19M+1.59%
Originally reported Mar 25, 2026EDGAR0001017386-26-000101
Current assets, period ended Dec 31, 2025
Revised from$8.71Mto$7.52M-13.61%
Originally reported Mar 25, 2026EDGAR0001017386-26-000101
Goodwill, period ended Dec 31, 2025
Revised from$5.98Mto$6.28M+5.03%
Originally reported Mar 25, 2026EDGAR0001017386-26-000101
Equity, period ended Dec 31, 2025
Revised from$11.77Mto$11.34M-3.72%
Originally reported Mar 25, 2026EDGAR0001017386-26-000101
Aug 4, 20261 revision
- CBZRestatement
Shares outstanding, period ended Feb 20, 2026
Revised from50.07M sharesto55.07M shares+9.98%
Originally reported Feb 26, 2026EDGAR0000944148-26-000094
Aug 3, 20263 revisions
GOAIRestatement3 figuresNet income, all in one filing.Show all 3Hide
Net income, period ended Dec 31, 2023
Revised from$-6.04Mto$6.61M+209.36%
Originally reported Apr 10, 2024EDGAR0001493152-26-035818
Net income, period ended Dec 31, 2024
Revised from$-3.75Mto$3.75M+200.00%
Originally reported Apr 14, 2025EDGAR0001493152-26-035818
Net income, period ended Dec 31, 2025
Revised from$8.13Mto$-8.13M-200.00%
Originally reported Mar 16, 2026EDGAR0001493152-26-035818
Jul 30, 202617 revisions
- PPCRestatement
CapEx, period ended Dec 28, 2025
Revised from$718.50Mto$254.90M-64.52%
Originally reported Feb 12, 2026EDGAR0000802481-26-000051
MDGLRestatement6 figuresWeighted average shares (diluted), Weighted average shares (basic), all in one filing.Show all 6Hide
Weighted average shares (diluted), period ended Dec 31, 2023
Revised from18.69M sharesto21.56M shares+15.38%
Originally reported Feb 28, 2024EDGAR0001628280-26-050845
Weighted average shares (basic), period ended Dec 31, 2023
Revised from18.69M sharesto21.56M shares+15.38%
Originally reported Feb 28, 2024EDGAR0001628280-26-050845
Weighted average shares (diluted), period ended Dec 31, 2024
Revised from21.27M sharesto26.91M shares+26.49%
Originally reported Feb 26, 2025EDGAR0001628280-26-050845
Weighted average shares (basic), period ended Dec 31, 2024
Revised from21.27M sharesto26.91M shares+26.49%
Originally reported Feb 26, 2025EDGAR0001628280-26-050845
Weighted average shares (diluted), period ended Dec 31, 2025
Revised from22.43M sharesto28.41M shares+26.64%
Originally reported Feb 19, 2026EDGAR0001628280-26-050845
Weighted average shares (basic), period ended Dec 31, 2025
Revised from22.43M sharesto28.41M shares+26.64%
Originally reported Feb 19, 2026EDGAR0001628280-26-050845
MWYNRestatement10 figuresAccounts payable, Receivables, Current assets and 7 more, all in one filing.Show all 10Hide
Accounts payable, period ended Apr 30, 2025
Revised from$3.88Mto$9.68K-99.75%
Originally reported Aug 8, 2025EDGAR0001213900-26-083383
Receivables, period ended Apr 30, 2025
Revised from$1.07Mto$195.00K-81.75%
Originally reported Aug 8, 2025EDGAR0001213900-26-083383
Current assets, period ended Apr 30, 2025
Revised from$10.38Mto$4.07M-60.78%
Originally reported Aug 8, 2025EDGAR0001213900-26-083383
Cost of revenue, period ended Apr 30, 2025
Revised from$6.40Mto$428.58K-93.31%
Originally reported Aug 8, 2025EDGAR0001213900-26-083383
Depreciation & amortization, period ended Apr 30, 2025
Revised from$192.16Kto$53.68K-72.07%
Originally reported Aug 8, 2025EDGAR0001213900-26-083383
Gross profit, period ended Apr 30, 2025
Revised from$4.70Mto$375.75K-92.01%
Originally reported Aug 8, 2025EDGAR0001213900-26-083383
Current liabilities, period ended Apr 30, 2025
Revised from$6.78Mto$239.03K-96.47%
Originally reported Aug 8, 2025EDGAR0001213900-26-083383
CapEx, period ended Apr 30, 2025
Revised from$69.85Kto$13.08K-81.27%
Originally reported Aug 8, 2025EDGAR0001213900-26-083383
Property, plant & equipment, period ended Apr 30, 2025
Revised from$270.50Kto$17.69K-93.46%
Originally reported Aug 8, 2025EDGAR0001213900-26-083383
Revenue, period ended Apr 30, 2025
Revised from$11.11Mto$804.33K-92.76%
Originally reported Aug 8, 2025EDGAR0001213900-26-083383
Jul 29, 20263 revisions
APLDRestatement3 figuresAccounts payable, Receivables, Current assets, all in one filing.Show all 3Hide
Accounts payable, period ended May 31, 2025
Revised from$247.53Mto$251.49M+1.60%
Originally reported Jul 30, 2025EDGAR0001144879-26-000048
Receivables, period ended May 31, 2025
Revised from$3.04Mto$6.83M+124.45%
Originally reported Jul 30, 2025EDGAR0001144879-26-000048
Current assets, period ended May 31, 2025
Revised from$430.59Mto$132.80M-69.16%
Originally reported Jul 30, 2025EDGAR0001144879-26-000048
Each row is a change to the filed record, dated to when it became knowable. Rows carry the accession of the filing that caused the change where one exists; identity changes are dated to when the change was observed, which is an upper bound.
The 60-day window holds more revisions than one page shows. The rest are served by the API, which needs a free key. See the docs.
The same ledger records when a company’s listing ended. Those companies, with the last figures each reported, are on the delisted companies pages.
A revision is detected by comparing what a company filed for one figure and period across its own filings. Differences that are scale or split artifacts rather than revisions are excluded, as are changes below a materiality threshold, which is measured against a floored denominator and is not the percentage shown on each row: that one is the change between the two values beside it. Companies filing 20-F or 40-F are not covered. Every figure here is as filed with the SEC. Distill Markets reports what was filed and when. Nothing on this page is financial advice.