NASDAQ · NFRXIndustrialsEquipment Rental

Harrison Street Infrastructure Active ETF financials

$24.56−0.80%
Close Sep 28, 2026 · split-adjusted

Revenue

Net income

Income statement & cash flow

QuarterQ2 '26
Jun 30
Q1 '26
Mar 31
Revenue$74.8M$79.0M
Gross profit$11.5M$18.2M
Gross margin15.4%23.0%
Operating income-$1.9M$4.3M
Net income-$7.7M$355.0K
Net margin−10.3%0.4%
Diluted EPS$-1.41$0.07
EBITDA$43.9M$62.8M
Operating cash flow-$6.1M$12.2M
Free cash flow-$6.1M$12.2M
Diluted shares5.5M5.5M

Balance sheet

Period endJun 30Mar 31
Cash & equivalents$18.0M$22.3M
Short-term investments$0.00$0.00
Total debt$74.1M$71.6M
Total assets$102.0M$104.0M
Total liabilities$110.1M$108.0M
Shareholders' equity-$36.0M-$31.9M

From SEC filings via Massive. Fiscal periods follow the company's own calendar; free cash flow is operating cash flow minus capital expenditure.

Sources: Massive / Polygon daily aggregates (split-adjusted) · SEC filings via Massive · FINRA settlements via Massive · Financial Modeling Prep. Figures are dated where shown; research is informational, not investment advice. Methodology