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SHFSW

SHF Holdings, Inc.

Price Chart
Latest Quote

$0.02

-0.01 (-23.96%)
Current Price
Previous Close $0.03
Open $0.04
Day High $0.02
Day Low $0.02
Volume 3,500
Fetched: 2026-06-20T08:25:47
Stock Information
Total Debt $690K
Cash Equivalents $5.90M
Revenue $7.83M
Net Income $-3.44M
Exchange NCM
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📊 Comprehensive Analysis
Company Data
Sales$7.83M
Income$-3.44M
Book/sh$1.49
Employees39
Financial Ratios
Quick Ratio1.05
Current Ratio1.60
Debt/Eq10.26
Returns & Margins
ROA-27.87%
Gross Margin100.00%
Operating Margin-77.29%
Profit Margin-39.77%
Ownership
Insider & Institutional transactions data not available
Valuation Ratios
P/B0.01
Analyst Data
Recommendationnone
Technical Indicators
SMA20$nan
SMA50$nan
RSInan
ATRnan
Shares Float4.34M
Rel Volume20.00
Performance History
Weeknan%
Monthnan%
Quarternan%
YTDnan%
10 Yearsnan%
Stock Score: ⭐ Premium
Based on debt, profitability, growth, and cash flow metrics
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Recent Price History
Date Close Volume
2026-06-18 $nan 3,500
2026-06-12 $0.03 0
2026-06-11 $0.03 0
2026-06-10 $0.03 0
2026-06-09 $0.03 0
2026-06-08 $0.03 0
2026-06-05 $0.03 0
2026-06-04 $0.03 0
2026-06-03 $0.03 0
2026-06-02 $0.03 0
2026-06-01 $0.03 0
2026-05-29 $0.03 0
2026-05-28 $0.03 0
2026-05-27 $0.03 0
2026-05-26 $0.03 0
2026-05-22 $0.03 0
2026-05-21 $0.03 0
2026-05-20 $0.03 0
2026-05-19 $0.03 0
About SHF Holdings, Inc.

SHF Holdings, Inc., through its subsidiaries, provides access to banking, lending, and other financial services to financial institutions serving the cannabis industry. The company, through its proprietary platform, offers access to business checking and savings accounts; cash management accounts; savings and investment options; commercial lending; courier and vaulting services; remote deposit services; automated clearing house payments and origination; and wire payments. It also provides regulatory compliance consulting, software for maintaining know your customer, and bank secrecy act compliance; origination, onboarding, verification, and servicing of cannabis-related deposit business; and sourcing, underwriting, servicing, and administering services of loans issued to cannabis businesses and related entities. In addition, the company's services allow cannabis related businesses to obtain services for enhanced financial insight into business and access to resources. SHF Holdings, Inc. was founded in 2015 and is headquartered in Golden, Colorado.

Period:
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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Revenue
Total Revenue $11,837,973 $17,512,808 $14,614,247 $-32,606,724
Operating Revenue $11,837,973 $17,512,808 $14,614,247 $-32,606,724
Expenses
Interest Expense $492,643 $533,390 $1,094,736 $705,204
Rent Expense Supplemental $232,773 $258,477 $315,614 $99,246
General And Administrative Expense $9,793,365 $12,059,902 $17,237,218 $9,185,104
Professional Expense And Contract Services Expense $3,328,222 $2,518,394 $1,858,137 $1,985,343
Other Non Interest Expense $1,064,174 - - -
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-2,160,998 $-48,319,475 $-17,279,847 $-35,128,083
Net Interest Income $1,985,439 $6,092,186 $1,877,698 $424,974
Interest Income $2,478,082 $6,625,576 $2,972,434 $1,130,178
Normalized Income $-2,238,407 $-41,377,404 $-4,315,059 $-35,050,837
Net Income From Continuing And Discontinued Operation $-2,160,998 $-48,319,475 $-17,279,847 $-35,128,083
Net Income Common Stockholders $-2,402,433 $-48,319,475 $-17,279,847 $-35,128,083
Net Income $-2,160,998 $-48,319,475 $-17,279,847 $-35,128,083
Net Income Including Noncontrolling Interests $-2,160,998 $-48,319,475 $-17,279,847 $-35,128,083
Net Income Continuous Operations $-2,160,998 $-48,319,475 $-17,279,847 $-35,128,083
Pretax Income $-2,219,468 $-4,459,789 $-19,109,548 $-44,380,976
Special Income Charges $79,475 $-8,787,432 $-14,337,583 $-97,593
Depreciation Amortization Depletion Income Statement $129,072 $0 - -
Depreciation And Amortization In Income Statement $129,072 $0 - -
Amortization Of Intangibles Income Statement $129,072 $0 - -
Other
Tax Effect Of Unusual Items $2,066 $-1,845,361 $-1,372,795 $-20,347
Tax Rate For Calcs $0 $0 $0 $0
Total Unusual Items $79,475 $-8,787,432 $-14,337,583 $-97,593
Total Unusual Items Excluding Goodwill $79,475 $-8,787,432 $-14,337,583 $-97,593
Reconciled Depreciation $3,155 $711,929 $1,373,707 $189,274
Diluted NI Availto Com Stockholders $-2,402,433 $-48,319,475 $-17,279,847 $-35,128,083
Preferred Stock Dividends $241,435 - - -
Tax Provision $-58,470 $43,859,686 $-1,829,701 $-9,252,893
Impairment Of Capital Assets $0 $9,148,881 $18,907,740 $0
Restructuring And Mergern Acquisition $-79,475 $-361,449 $-4,570,157 $97,593
Gain On Sale Of Security $5,812,517 $4,896,501 $3,990,916 $-39,259,699
Amortization $129,072 $0 - -
Selling General And Administration $9,793,365 $12,059,902 $17,237,218 $9,185,104
Other Gand A $3,294,275 $4,018,094 $6,587,392 $2,390,539
Rent And Landing Fees $232,773 $258,477 $315,614 $99,246
Salaries And Wages $6,266,317 $7,783,331 $10,334,212 $6,695,319
Fetched: 2026-06-20
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Assets
Net Tangible Assets $8,235,908 $-12,288,014 $24,575,566 $-24,774,238
Total Assets $17,207,024 $13,218,287 $67,860,909 $99,451,937
Prepaid Assets $1,276,729 $1,072,036 $1,108,937 $888,085
Receivables $4,138,559 $5,703,172 $6,815,196 $6,026,326
Other Receivables $3,097,700 $4,584,221 $4,584,221 $4,584,221
Accounts Receivable $1,040,859 $1,118,951 $2,230,975 $1,442,105
Cash And Cash Equivalents $6,779,040 $2,324,647 $4,907,420 $8,407,990
Cash Cash Equivalents And Federal Funds Sold $6,779,040 $2,324,647 $4,907,420 $8,407,990
Goodwill And Other Intangible Assets - $0 $9,779,745 $29,887,363
Other Intangible Assets - - $3,721,745 $10,621,087
Debt
Total Debt $710,515 $11,879,007 $15,019,159 $1,028,233
Long Term Debt And Capital Lease Obligation $528,552 $11,461,290 $11,879,622 $1,008,109
Current Debt And Capital Lease Obligation $181,963 $417,717 $3,139,537 $20,124
Current Debt $0 $255,765 $3,006,991 $0
Net Debt - $8,679,526 $9,103,746 -
Long Term Debt - $10,748,408 $11,004,175 -
Liabilities
Total Liabilities Net Minority Interest $8,971,116 $25,506,301 $33,505,598 $94,338,812
Derivative Product Liabilities $39,620 $8,670,071 $11,473,709 $7,976,090
Current Deferred Liabilities $3,015,415 $3,366,678 $2,911,714 $14,360,818
Current Notes Payable $0 $255,765 $3,006,991 $0
Payables And Accrued Expenses $1,671,656 $1,517,709 $1,803,694 $67,606,242
Payables $361,193 $216,331 $794,707 $66,132,831
Accounts Payable $361,193 $216,331 $794,707 $64,682,331
Non Current Deferred Liabilities - - $810,000 $2,747,592
Other Payable - - - $1,450,500
Equity
Common Stock Equity $8,235,905 $-12,288,014 $34,355,311 $5,113,124
Preferred Stock Equity $3 - - $1
Total Equity Gross Minority Interest $8,235,908 $-12,288,014 $34,355,311 $5,113,125
Stockholders Equity $8,235,908 $-12,288,014 $34,355,311 $5,113,125
Retained Earnings $-122,916,543 $-120,755,545 $-71,569,821 $-39,695,281
Other Equity Interest - - - -
Other
Ordinary Shares Number $4,281,523 $2,783,667 $2,728,168 $1,186,644
Share Issued $4,281,523 $2,783,667 $2,728,168 $1,186,644
Tangible Book Value $8,235,905 $-12,288,014 $24,575,566 $-24,774,239
Capital Lease Obligations $710,515 $874,834 $1,007,993 $1,028,233
Additional Paid In Capital $131,152,020 $108,467,253 $105,924,859 $44,806,031
Capital Stock $431 $278 $273 $2,375
Common Stock $428 $278 $273 $2,374
Preferred Stock $3 $0 $0 $1
Long Term Capital Lease Obligation $528,552 $712,882 $875,447 $1,008,109
Current Deferred Revenue $3,015,415 $3,366,678 $2,911,714 $14,360,818
Current Capital Lease Obligation $181,963 $161,952 $132,546 $20,124
Current Accrued Expenses $1,310,463 $1,301,378 $1,008,987 $1,473,411
Investments And Advances $1,450,000 - - -
Available For Sale Securities $1,450,000 - - -
Net PPE $547,186 $703,524 $944,081 $1,065,812
Gross PPE $547,186 $703,524 $1,244,089 $1,191,992
Other Properties $547,186 $703,524 $976,893 $1,133,230
Invested Capital - $-1,283,841 $48,366,477 -
Total Capitalization - $-1,539,606 $45,359,486 -
Goodwill - $0 $6,058,000 $19,266,276
Accumulated Depreciation - $-381,074 $-300,008 $-126,180
Machinery Furniture Equipment - $267,196 $267,196 $58,762
Treasury Shares Number - - $0 -
Non Current Deferred Revenue - - $810,000 $2,747,592
Leases - - - $71,635
Fetched: 2026-06-20
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Free Cash Flow
Free Cash Flow $-3,417,700 $430,477 $-1,040,578 $1,680,062
Operating Activities
Operating Cash Flow $-3,417,700 $430,477 $-832,144 $1,697,380
Cash Flow From Continuing Operating Activities $-3,417,700 $430,477 $-832,144 $1,697,380
Operating Gains Losses $-4,657,084 $-2,803,638 $1,853,920 $41,380,339
Investing Activities
Investing Cash Flow $442,186 $12,394 $-2,180,448 $-2,897,429
Cash Flow From Continuing Investing Activities $442,186 $12,394 $-2,180,448 $-2,897,429
Capital Expenditure - - $-208,434 $-17,318
Financing Activities
Repurchase Of Capital Stock $-292,800 $0 - -
Issuance Of Capital Stock $7,908,987 $0 - -
Financing Cash Flow $7,429,907 $-3,006,993 $-488,834 $4,094,339
Cash Flow From Continuing Financing Activities $7,429,907 $-3,006,993 $-488,834 $4,094,339
Net Other Financing Charges $-480,515 - - $4,094,339
Net Preferred Stock Issuance $5,837,200 $0 - -
Preferred Stock Issuance $6,130,000 $0 - -
Net Common Stock Issuance $1,778,987 $0 - -
Common Stock Issuance $1,778,987 $0 - -
Other
Repayment Of Debt $-255,765 $-3,006,993 $-488,834 $0
Issuance Of Debt $550,000 $0 - -
Interest Paid Supplemental Data $388,457 $416,852 $450,258 $0
End Cash Position $6,779,040 $2,324,647 $4,888,769 $8,390,195
Beginning Cash Position $2,324,647 $4,888,769 $8,390,195 $5,495,905
Changes In Cash $4,454,393 $-2,564,122 $-3,501,426 $2,894,290
Preferred Stock Payments $-292,800 $0 - -
Net Issuance Payments Of Debt $294,235 $-3,006,993 $-488,834 $0
Net Long Term Debt Issuance $294,235 $-3,006,993 $-488,834 $0
Long Term Debt Payments $-255,765 $-3,006,993 $-488,834 $0
Long Term Debt Issuance $550,000 $0 - -
Net Investment Purchase And Sale $50,000 $0 - -
Sale Of Investment $50,000 $0 - -
Change In Working Capital $736,129 $-2,048,184 $-4,071,318 $393,398
Change In Other Current Liabilities $-48,960 $527 $0 -
Change In Other Current Assets $4,057 $-2,968,061 $40,370 $-150,817
Change In Payables And Accrued Expense $153,947 $-285,985 $-3,143,206 $-189,656
Change In Accrued Expense $9,085 $292,396 $-464,424 $402,767
Change In Payable $144,862 $-578,381 $-2,678,782 $-592,423
Change In Account Payable $144,862 $-578,381 $-2,128,782 $123,327
Change In Prepaid Assets $561,913 $86,901 $-221,708 $50,912
Change In Receivables $78,092 $1,112,021 $-767,700 $690,296
Changes In Account Receivables $78,092 $1,112,021 $-788,870 $693,149
Other Non Cash Items $1,315,526 $-401,543 $-3,816,658 $802,797
Stock Based Compensation $1,523,489 $1,575,952 $3,739,156 $2,806,336
Asset Impairment Charge $0 $9,148,881 $18,907,740 $0
Amortization Of Securities $0 $100,000 $0 -
Deferred Tax $0 $43,859,686 $-1,829,701 $-9,252,893
Deferred Income Tax $0 $43,859,686 $-1,829,701 $-9,252,893
Depreciation Amortization Depletion $3,155 $711,929 $1,373,707 $189,274
Depreciation And Amortization $3,155 $711,929 $1,373,707 $189,274
Net Income From Continuing Operations $-2,160,998 $-48,319,475 $-17,279,847 $-35,128,083
Net Business Purchase And Sale - $0 $-3,000,000 $-3,041,680
Purchase Of Business - $0 $-3,000,000 $-3,041,680
Net PPE Purchase And Sale - $0 $-208,434 $-17,318
Purchase Of PPE - $0 $-208,434 $-17,318
Depreciation - - - $189,274
Fetched: 2026-06-20