v3.25.2
Consolidated Statements of Operations (Unaudited) - USD ($)
3 Months Ended 9 Months Ended
Jun. 29, 2025
Jun. 30, 2024
Jun. 29, 2025
Jun. 30, 2024
Total revenue $ 3,475,920 $ 3,448,744 $ 7,248,399 $ 7,304,569
Cost of sales 401,846 436,348 968,507 1,047,267
Selling, general and administrative 1,813,001 1,911,148 5,135,513 5,175,752
Depreciation and amortization 230,756 230,852 659,619 672,648
Contested proxy and related matters, net (103,657) 746,570 (670,814) 2,037,822
Tornado expenses and write-offs, net (53,755) (53,755)
Legal settlement 75,000 75,000
Other operating expenses, net 13,750 13,698 35,754
Income (loss) from operations 1,120,224 102,581 1,141,876 (1,685,919)
Other (income), net (18,345) (31,412) (57,050) (101,325)
Interest expense 53,970 46,923 166,148 147,515
Income (loss) before income taxes 1,084,599 87,070 1,032,778 (1,732,109)
Income tax expense (benefit) 260,229 19,200 263,129 (430,400)
NET INCOME (LOSS) $ 824,370 $ 67,870 $ 769,649 $ (1,301,709)
NET INCOME (LOSS) PER COMMON SHARE - BASIC [1] $ 1.09 $ 0.09 $ 1.02 $ (1.72)
NET INCOME (LOSS) PER COMMON SHARE - DILUTED [1] $ 1.09 $ 0.09 $ 1.02 $ (1.72)
Weighted average shares outstanding - basic [1] 754,862 757,270 756,467 756,770
Weighted average shares outstanding - diluted [1] 754,862 757,270 756,467 756,770
Park [Member]        
Total revenue $ 3,397,658 $ 3,356,723 $ 7,096,033 $ 7,090,197
Animals [Member]        
Total revenue $ 78,262 $ 92,021 $ 152,366 $ 214,372
[1] Prior period amounts have been adjusted to reflect the Reverse/Forward Stock Split that became effective on April 30, 2025. Refer to Note 6, Stockholders Equity for further information about the Reverse/Forward Stock Split.