Rocket


Overview
Financials
News + Filings
Key Docs
Ownership
Insiders





All
All (ex-4s)
10-K
10-Q
8-K
3,4,5
Proxy
Prospectus
Other

Tags
Acq. announced
Consulting agrmnt

Stran & Company, Inc. Create: Alert

All | News | Filings
Date FiledTypeDescription
08/17/2023 8-K/A Completion of Acquisition or Disposition of Assets, Financial Statements and Exhibits  Interactive Data
Docs: "CONSENT OF BF BORGERS CPA PC",
"T R MILLER CO., INC. NOTES TO THE FINANCIAL STATEMENTS",
"T R MILLER CO., INC. BALANCE SHEET ASSETS Current Assets Cash $ 2,432,941 Accounts Receivable, Net 1,373,822 Deposits 6,940 Due from Stockholders, Current 350,000 Inventory 232,273 Note Receivable, Current 3,241 Prepaid Corporate Taxes 135,126 Prepaid Expenses 8,909 Total Current Assets 4,543,252 Property and Equipment, net: 145,671 Other Assets: Due from Stockholders, Net of Current Portion 702,781 Note Receivable, Net of Current Portion 69,718 772,499 Total Assets $ 5,461,422 Liabilities and Stockholders’ Equity Current Liabilities Accounts Payable and Accrued Expenses $ 301,988 Accrued Payroll and Related 165,279 Due to Stockholder 37,805 Unearned Revenue 218,622 Sales Tax Payable 37,886 Total Current Liabilities 761,580 Total Liabilities 761,580 Stockholders’ Equity Common Stock, No Pa...",
"STRAN & COMPANY, INC. AND T R MILLER CO., INC. UNAUDITED PRO FORMA CONDENSED COMBINED STATEMENT AS OF AND FOR THE 12 MONTHS ENDED DECEMBER 31, 2022",
"STRAN & COMPANY, INC. NOTES TO UNAUDITED PRO FORMA CONDENSED COMBINED FINANCIAL STATEMENTS DECEMBER 31, 2022 AND MARCH 31, 2023"
08/14/2023 8-K Results of Operations and Financial Condition, Financial Statements and Exhibits  Interactive Data
Docs: "BALANCE SHEETS June 30, December 31, 2023 2022 ASSETS CURRENT ASSETS: Cash $ 15,271,199 $ 15,253,756 Investments 10,277,690 9,779,355 Accounts Receivable, Net 13,958,984 14,442,626 Deferred Income Taxes 1,542,000 841,000 Inventory 5,820,887 6,867,564 Prepaid Corporate Taxes 87,459 87,459 Prepaid Expenses 695,711 386,884 Deposits 1,976,439 910,486 49,630,369 48,569,130 PROPERTY AND EQUIPMENT, NET: 1,294,568 1,000,090 OTHER ASSETS: Intangible Assets - Customer Lists, Net 10,711,939 6,272,205 Right of Use Asset - Office Leases 1,470,140 784,683 12,182,079 7,056,888 $ 63,107,016 $ 56,626,108 LIABILITIES AND STOCKHOLDER’ S EQUITY CURRENT LIABILITIES: Current Portion of Contingent Earn-Out Liabilities $ 3,186,825 $ 1,809,874 Current Portion of Lease Liability 676,036 324,594 Accounts Payable and..."
08/07/2023 8-K Results of Operations and Financial Condition, Regulation FD Disclosure, Financial Statements and Exhibits  I...
Docs: "Press Contact:"
06/01/2023 8-K Acquisition/merger/asset purchase announced, Entered into consulting agreement
Docs: "land and building lease agreement List Of EXHIBITS",
"Press Contact:"
05/15/2023 8-K Results of Operations and Financial Condition, Financial Statements and Exhibits  Interactive Data
Docs: "BALANCE SHEETS March 31, December 31, 2023 2022 ASSETS CURRENT ASSETS: Cash $ 10,596,595 $ 15,253,756 Investments 10,269,101 9,779,355 Accounts Receivable, Net 11,914,586 14,442,626 Deferred Income Taxes 1,205,000 841,000 Inventory 5,665,924 6,867,564 Prepaid Corporate Taxes 87,459 87,459 Prepaid Expenses 611,320 386,884 Deposits 1,172,754 910,486 41,522,739 48,569,130 PROPERTY AND EQUIPMENT, NET: 1,193,356 1,000,090 OTHER ASSETS: Intangible Assets - Customer Lists, Net 5,654,804 6,272,205 Right of Use Asset - Office Leases 775,742 784,683 6,430,546 7,056,888 $ 49,146,641 $ 56,626,108 LIABILITIES AND STOCKHOLDER’ S EQUITY CURRENT LIABILITIES: Current Portion of Contingent Earn-Out Liabilities $ 2,171,603 $ 1,809,874 Current Portion of Lease Liability 320,197 324,594 Accounts Payable and Ac..."
05/10/2023 8-K Results of Operations and Financial Condition, Regulation FD Disclosure, Financial Statements and Exhibits  I...
Docs: "Press Contact:"
04/20/2023 8-K Quarterly results
03/30/2023 8-K Quarterly results
03/22/2023 8-K Results of Operations and Financial Condition, Regulation FD Disclosure, Financial Statements and Exhibits  I...
Docs: "Press Contact:"
01/31/2023 8-K Acquisition/merger/asset purchase announced
Docs: "article 1 SALE OF ASSETS AND ASSUMPTION OF LIABLILITIES 1.1 Sale of Assets. Purchased Assets. At the Closing , Seller shall sell, assign, transfer, convey and deliver to Buyer and Buyer shall accept and purchase all of Seller’ s right, title and interest in and to all of the assets, properties, rights, interests, claims and goodwill of Seller, tangible and intangible, of every kind and description, as the same shall exist as of the Closing Date, including, without limitation, the assets, properties and rights of the Seller reflected in the Schedule of Purchased Assets attached hereto and labeled Schedule 1.1, together with all assets, properties and rights acquired by Seller of a similar nature since the date of such Schedule, less such assets, properties and rights as may have been dispos...",
"Press Contact:"
01/04/2023 8-K Regulation FD Disclosure, Financial Statements and Exhibits  Interactive Data
Docs: "Press Contact:"
12/21/2022 8-K Other Events, Financial Statements and Exhibits  Interactive Data
Docs: "Stran & Company Completes Acquisition of Premier NYC"
12/16/2022 8-K Quarterly results
12/02/2022 8-K Submission of Matters to a Vote of Security Holders, Other Events, Financial Statements and Exhibits  Interac...
10/11/2022 8-K Regulation FD Disclosure, Financial Statements and Exhibits  Interactive Data
Docs: "Press Contact: Howie Turkenkopf [email protected] Source: Stran & Company, Inc.",
"INVESTOR PRESENTATION OF STRAN & COMPANY, INC., DATED OCTOBER 2022"
09/07/2022 8-K Quarterly results
08/19/2022 8-K Quarterly results
08/15/2022 8-K Quarterly results
08/09/2022 8-K Results of Operations and Financial Condition, Financial Statements and Exhibits  Interactive Data
Docs: "Press Contact:"
07/21/2022 8-K Quarterly results
07/19/2022 8-K Quarterly results
05/23/2022 8-K Quarterly results
05/13/2022 8-K Quarterly results
03/28/2022 8-K Results of Operations and Financial Condition, Financial Statements and Exhibits  Interactive Data
Docs: "CONDENSED CONSOLIDATED BALANCE SHEETS December 31, December 31, 2021 2020 ASSETS CURRENT ASSETS: Cash $ 32,226,668 $ 647,235 Accounts Receivable, Net 8,982,768 5,679,580 Deferred Income Taxes 113,000 - Inventory 5,230,792 2,499,049 Prepaid Corporate Taxes 87,459 - Prepaid Expenses 623,402 122,516 Security Deposit 299,411 324,927 47,563,500 9,273,307 PROPERTY AND EQUIPMENT, NET: 615,837 449,972 OTHER ASSETS: Intangible Asset - Customer List, Net 1,929,294 2,216,128 Due From Stockholder - 6,748 Right of Use Asset - Office Leases 1,094,778 1,358,517 3,024,072 3,581,393 $ 51,203,409 $ 13,304,672 LIABILITIES AND STOCKHOLDER'S EQUITY CURRENT LIABILITIES: Note Payable - Line of Credit $ - $ 1,650,000 Current Portion of Long-Term Debt - 153,133 Current Portion of Wildman Contingent Earn-Out Liabil..."
03/16/2022 8-K Quarterly results
02/01/2022 8-K Acquisition/merger/asset purchase announced
Docs: "AMENDMENT NO. 1 TO THE ASSET PURCHASE AGREEMENT This AMENDMENT NO. 1 TO THE ASSET PURCHASE AGREEMENT , dated as of January 31, 2022, is entered into by and among Stran & Company, Inc., a Nevada corporation , or a designated affiliate of STRAN , G.A.P. PROMOTIONS, LLC, a Massachusetts limited liability company , and Gayle Piraino and Stephen Piraino . RECITALS A. The Buyer, the Seller and the Members have previously entered in that certain Asset Purchase Agreement, dated January 21, 2022 . B. The parties hereto desire to amend the Asset Purchase Agreement as set forth herein. C. Pursuant to Section 7.2 of the Asset Purchase Agreement, the Asset Purchase Agreement may be amended by the Parties only by an instrument in writing signed on behalf of the Buyer, the Seller and the Members. AGREEME...",
"Press Contact:"
01/26/2022 8-K Acquisition/merger/asset purchase announced
Docs: "article 2",
"Press Contact:"
12/20/2021 8-K Quarterly results
12/13/2021 8-K Quarterly results
11/26/2021 8-K Entry into a Material Definitive Agreement, Creation of a Direct Financial Obligation or an Obligation under an Off-Balance S...
Docs: "Revolving Demand Line of Credit Loan Agreement, by and between Stran & Company, Inc. and Salem Five Cents Savings Bank",
"Revolving Demand Line of Credit Note, by Stran & Company, Inc. in favor of Salem Five Cents Savings Bank",
"Security Agreement, by and between Stran & Company, Inc. in favor of Salem Five Cents Savings Bank",
"Warehouseman’ s Waiver, and executed November 22, 2021, by and among Harte Hanks Response Management/ Boston, Inc., Stran & Company, Inc. and Salem Five Cents Savings Bank",
"Press Contact:"
11/12/2021 8-K Entry into a Material Definitive Agreement, Other Events, Financial Statements and Exhibits
Docs: "Underwriting Agreement, by and between Stran & Company, Inc. and EF Hutton, division of Benchmark Investments, LLC (as representative of the underwriters named therein)",
"Warrant Agency Agreement, by and between Stran & Company, Inc. and VStock Transfer, LLC and Form of Warrant",
"Press Contact:",
"Press Contact:"

Rocket Data Systems, Inc. © 2019 | Contact Us | Data Disclaimer | Terms of Use | Privacy