2021 annual financial data

DARE 2021 Operating margin

DARE 2021 operating margin with verified reported values.

Direct answer

Operating margin was -390.69%.

Operating income was -39,068,512 USD and net income was -38,696,105 USD.
Operating cash flow was -28,764,037 USD.

Verified data

Revenue
10,000,000 USD
Operating income
-39,068,512 USD
Net income
-38,696,105 USD
Operating cash flow
-28,764,037 USD