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SNYR

Synergy CHC Corp.

Price Chart
Latest Quote

$0.24

+0.03 (+14.52%)
Current Price
Previous Close $0.21
Open $0.21
Day High $0.25
Day Low $0.20
Volume 1,443,911
Fetched: 2026-06-20T00:20:40
Stock Information
Shares Outstanding 14.90M
Total Debt $27.75M
Cash Equivalents $292K
Revenue $27.70M
Net Income $-15.79M
Sector Healthcare
Industry Medical Distribution
Market Cap $3.56M
EPS (TTM) $-1.60
Exchange NCM
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📊 Comprehensive Analysis
Company Data
Enterprise Value$30.35M
Sales$27.70M
Income$-15.79M
Book/sh$-2.21
Cash/sh$0.02
Employees28
Financial Ratios
Quick Ratio0.23
Current Ratio0.93
Returns & Margins
ROA-62.02%
Gross Margin65.37%
Operating Margin-10.32%
Profit Margin-56.98%
Ownership
Insider Ownership44.86%
Institutional Ownership11.31%
Insider & Institutional transactions data not available
Valuation Ratios
Forward P/E1.59
P/S0.13
P/B-0.11
Analyst Data
Recommendationstrong_buy
Target Price$3.75
Technical Indicators
SMA20$0.23
SMA50$0.33
SMA200$1.50
RSI41.67
ATR0.0262
Shares Float8.17M
Short Float42.12%
Short Ratio0.54
Volatility0.51
Rel Volume0.22
Performance History
Week+18.32%
Month-7.72%
Quarter-80.88%
6 Months-87.08%
YTD-87.29%
Year-88.99%
10 Years-97.34%
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 $0.24 1,538,000
2026-06-17 $0.21 905,000
2026-06-16 $0.19 404,100
2026-06-15 $0.20 545,300
2026-06-12 $0.20 553,200
2026-06-11 $0.20 730,000
2026-06-10 $0.19 559,200
2026-06-09 $0.20 1,261,700
2026-06-08 $0.21 591,100
2026-06-05 $0.21 989,200
2026-06-04 $0.23 725,900
2026-06-03 $0.25 1,015,400
2026-06-02 $0.27 1,858,200
2026-06-01 $0.26 1,964,100
2026-05-29 $0.27 4,864,000
2026-05-28 $0.28 116,222,900
2026-05-27 $0.25 425,700
2026-05-26 $0.26 716,700
2026-05-22 $0.25 512,300
2026-05-21 $0.25 588,900
2026-05-20 $0.25 752,000
2026-05-19 $0.26 469,400
About Synergy CHC Corp.

Synergy CHC Corp. provides consumer health care, beauty, and lifestyle products in the United States, Canada, Mexico, and internationally. It offers brain health nutritional supplements under the FOCUSfactor brand name; and lifestyle and wellness products and accessories, including tea, shakes, lollipops, supplements, apparel, and exercise accessories under the Flat Tummy brand name. The company also provides hand care products under the Hand MD brand name; Neuragen a homeopathic product; and UrgentRx, an over the counter drug. It sells its products through club, mass drug, and other retailers. The company was formerly known as Synergy Strips Corp. and changed its name to Synergy CHC Corp. in August 2015. The company was incorporated in 2010 and is based in Windham, Maine.

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Income Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31
Revenue
Reconciled Cost Of Revenue $10,077,992 $11,191,224 $10,697,323
Cost Of Revenue $10,077,992 $11,191,224 $10,697,323
Total Revenue $30,380,809 $34,834,243 $42,777,633
Operating Revenue $30,380,809 $34,834,243 $42,777,633
Expenses
Interest Expense $5,919,742 $4,105,198 $4,236,149
Total Expenses $32,178,908 $29,032,995 $31,970,887
Other Income Expense $-4,520,961 $529,488 $1,517
Other Non Operating Income Expenses $2,139,689 $529,488 $1,517
Net Non Operating Interest Income Expense $-5,904,677 $-4,103,675 $-4,234,533
Interest Expense Non Operating $5,919,742 $4,105,198 $4,236,149
Operating Expense $22,100,916 $17,841,771 $21,273,564
Selling And Marketing Expense $13,137,779 $12,991,431 $15,188,528
General And Administrative Expense $8,829,803 $4,717,006 $6,051,703
Income & Earnings
Net Income From Continuing Operation Net Minority Interest $-12,341,208 $2,124,976 $6,338,750
Net Interest Income $-5,904,677 $-4,103,675 $-4,234,533
Interest Income $15,065 $1,523 $1,616
Normalized Income $-7,079,294 $2,124,976 $6,338,750
Net Income From Continuing And Discontinued Operation $-12,341,208 $2,124,976 $6,338,750
Total Operating Income As Reported $-8,458,749 $5,801,248 $10,806,746
Net Income Common Stockholders $-12,341,208 $2,124,976 $6,338,750
Net Income $-12,341,208 $2,124,976 $6,338,750
Net Income Including Noncontrolling Interests $-12,341,208 $2,124,976 $6,338,750
Net Income Continuous Operations $-12,341,208 $2,124,976 $6,338,750
Pretax Income $-12,223,737 $2,227,061 $6,573,730
Special Income Charges $-6,660,650 $0 -
Interest Income Non Operating $15,065 $1,523 $1,616
Operating Income $-1,798,099 $5,801,248 $10,806,746
Depreciation Amortization Depletion Income Statement $133,334 $133,334 $33,333
Depreciation And Amortization In Income Statement $133,334 $133,334 $33,333
Gross Profit $20,302,817 $23,643,019 $32,080,310
Per Share
Diluted EPS $-1.27 $0.28 $0.86
Basic EPS $-1.27 $0.28 $0.86
Other
Tax Effect Of Unusual Items $-1,398,736 $0 $0
Tax Rate For Calcs $0 $0 $0
Normalized EBITDA (Bullshit earnings) $489,989 $6,465,593 $10,843,212
Total Unusual Items $-6,660,650 $0 $1,517
Total Unusual Items Excluding Goodwill $-6,660,650 $0 $1,517
Reconciled Depreciation $133,334 $133,334 $33,333
EBITDA (Bullshit earnings) $-6,170,661 $6,465,593 $10,843,212
EBIT $-6,303,995 $6,332,259 $10,809,879
Diluted Average Shares $9,722,552 $7,630,501 $7,373,745
Basic Average Shares $9,722,552 $7,588,095 $7,373,745
Diluted NI Availto Com Stockholders $-12,341,208 $2,124,976 $6,338,750
Tax Provision $117,471 $102,085 $234,980
Write Off $6,660,650 $0 -
Selling General And Administration $21,967,582 $17,708,437 $21,240,231
Other Gand A $8,829,803 $4,717,006 $6,051,703
Gain On Sale Of Security - $18,954 $1,517
Fetched: 2026-06-17
Balance Sheet (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31
Assets
Net Tangible Assets $-23,278,138 $-16,914,676 $-27,722,640
Total Assets $10,164,376 $16,343,101 $12,239,516
Total Non Current Assets $150,000 $283,333 $416,667
Goodwill And Other Intangible Assets $150,000 $283,333 $416,667
Other Intangible Assets $150,000 $283,333 $416,667
Current Assets $10,014,376 $16,059,768 $11,822,849
Restricted Cash $100,000 $100,000 $100,000
Prepaid Assets $351,049 $1,859,563 $797,985
Inventory $3,737,509 $1,716,552 $3,726,240
Receivables $3,203,505 $11,695,733 $6,566,090
Loans Receivable $0 $4,375,059 $4,459,996
Accounts Receivable $3,203,505 $5,321,037 $2,106,094
Allowance For Doubtful Accounts Receivable $-377,579 $0 $-149,446
Gross Accounts Receivable $3,581,084 $5,321,037 $2,255,540
Cash Cash Equivalents And Short Term Investments $2,622,313 $687,920 $632,534
Cash And Cash Equivalents $2,622,313 $687,920 $632,534
Other Receivables - $1,999,637 -
Cash Financial - $687,920 $632,534
Debt
Net Debt $24,192,348 $26,827,427 $26,985,598
Total Debt $26,814,661 $27,515,347 $27,618,132
Long Term Debt And Capital Lease Obligation $25,056,446 $15,790,075 $25,523,607
Long Term Debt $25,056,446 $15,790,075 $25,523,607
Current Debt And Capital Lease Obligation $1,758,215 $11,725,272 $2,094,525
Current Debt $1,758,215 $11,725,272 $2,094,525
Other Current Borrowings $1,758,215 $11,725,272 $2,094,525
Liabilities
Total Liabilities Net Minority Interest $33,292,514 $32,974,444 $39,545,489
Total Non Current Liabilities Net Minority Interest $25,056,446 $15,790,075 $25,523,607
Current Liabilities $8,236,068 $17,184,369 $14,021,882
Other Current Liabilities $2 - -
Current Deferred Liabilities $1,526 $24,252 $21,763
Payables And Accrued Expenses $6,476,325 $5,434,845 $11,905,594
Interest Payable $300,397 $0 -
Payables $641,538 $1,011,262 $1,075,076
Total Tax Payable $641,538 $1,011,262 $1,075,076
Income Tax Payable $88,108 $242,977 $185,665
Equity
Common Stock Equity $-23,128,138 $-16,631,343 $-27,305,973
Total Equity Gross Minority Interest $-23,128,138 $-16,631,343 $-27,305,973
Stockholders Equity $-23,128,138 $-16,631,343 $-27,305,973
Gains Losses Not Affecting Retained Earnings $-154,281 $-47,777 $-102,467
Other Equity Adjustments $-154,281 $-47,777 $-102,467
Retained Earnings $-56,441,021 $-44,099,813 $-46,224,789
Other
Treasury Shares Number $180,073 $180,073 -
Ordinary Shares Number $11,303,853 $8,541,745 $7,553,703
Share Issued $11,483,926 $8,721,818 $7,553,703
Tangible Book Value $-23,278,138 $-16,914,676 $-27,722,640
Invested Capital $3,686,523 $10,884,004 $312,159
Working Capital $1,778,308 $-1,124,601 $-2,199,033
Total Capitalization $1,928,308 $-841,268 $-1,782,366
Treasury Stock $127,500 $127,500 $127,500
Additional Paid In Capital $33,594,550 $27,643,660 $19,148,707
Capital Stock $114 $87 $76
Common Stock $114 $87 $76
Current Deferred Revenue $1,526 $24,252 $14,202
Current Accrued Expenses $5,834,787 $4,423,583 $10,830,518
Finished Goods $3,325,093 $1,578,561 $3,584,343
Raw Materials $412,416 $137,991 $138,949
Other Inventories - - $2,948
Fetched: 2026-06-17
Cash Flow Statement (Annual)
Metric 2025-12-31 2024-12-31 2023-12-31
Free Cash Flow
Free Cash Flow $-2,585,022 $-4,803,390 $421,729
Operating Activities
Operating Cash Flow $-2,585,022 $-4,803,390 $421,729
Cash Flow From Continuing Operating Activities $-2,585,022 $-4,803,390 $421,729
Operating Gains Losses $-2,134,158 $-217,038 $-106,709
Investing Activities
Investing Cash Flow $0 $0 $0
Financing Activities
Issuance Of Capital Stock $3,719,547 $8,397,044 $0
Financing Cash Flow $4,654,664 $4,804,086 $-2,090,782
Cash Flow From Continuing Financing Activities $4,654,664 $4,804,086 $-2,090,782
Net Other Financing Charges $-1,924,287 $328,003 -
Net Common Stock Issuance $3,719,547 $8,397,044 $0
Common Stock Issuance $3,719,547 $8,397,044 $0
Other
Repayment Of Debt $-18,136,846 $-5,280,961 $-2,450,782
Issuance Of Debt $20,996,250 $1,360,000 $360,000
Interest Paid Supplemental Data $2,953,878 $3,906,001 $4,174,895
Income Tax Paid Supplemental Data $147,377 $0 $0
End Cash Position $2,722,313 $787,920 $732,534
Beginning Cash Position $787,920 $732,534 $2,526,443
Effect Of Exchange Rate Changes $-135,249 $54,690 $-124,856
Changes In Cash $2,069,642 $696 $-1,669,053
Net Issuance Payments Of Debt $2,859,404 $-3,920,961 $-2,090,782
Net Long Term Debt Issuance $2,859,404 $-3,920,961 $-2,090,782
Long Term Debt Payments $-18,136,846 $-5,280,961 $-2,450,782
Long Term Debt Issuance $20,996,250 $1,360,000 $360,000
Change In Working Capital $1,457,734 $-6,871,412 $-1,619,941
Change In Other Working Capital $-22,726 $10,050 $9,005
Change In Payables And Accrued Expense $1,026,921 $-2,751,562 $-6,302,900
Change In Payable $1,026,921 $-2,751,562 $-6,302,900
Change In Account Payable $1,111,192 $-2,808,874 $-6,488,565
Change In Tax Payable $-84,271 $57,312 $185,665
Change In Income Tax Payable $-84,271 $57,312 $185,665
Change In Prepaid Assets $1,508,514 $-1,395,115 $-658,216
Change In Inventory $-2,915,298 $1,884,324 $3,990,456
Change In Receivables $1,860,323 $-4,619,109 $1,341,714
Changes In Account Receivables $1,514,935 $-3,214,943 $1,378,620
Other Non Cash Items $4,017,822 $-98,614 $-4,474,725
Stock Based Compensation $983,309 $0 -
Asset Impairment Charge $5,298,145 $125,364 $251,021
Depreciation Amortization Depletion $133,334 $133,334 $33,333
Depreciation And Amortization $133,334 $133,334 $33,333
Amortization Cash Flow $133,334 $133,334 $33,333
Amortization Of Intangibles $133,334 $133,334 $33,333
Pension And Employee Benefit Expense $0 $-252,405 $0
Net Foreign Currency Exchange Gain Loss $20,364 $35,367 $-106,709
Net Income From Continuing Operations $-12,341,208 $2,124,976 $6,338,750
Fetched: 2026-06-17