GroGuru, Inc.

State Juristiction
DE
Date of Incorporation
2014-06-17
CIK
1812857
Legal Form
Corporation
Offering via Wefunder Portal LLC aka Wefunder
  • As of 2020-05-26, raising $200,000.00-$1,070,000.00 via 200,000+ of Convertible Note at $1.00 by 2020-09-25Costing 7% in cash and 0% in equity
  • As of 2021-04-05, raising $9,999.99-$1,070,000.00 via 90,909+ of Series Seed I Preferred Stock at $0.11 by 2021-10-05Costing 7% in cash and 0% in equity
  • As of 2021-06-22, raising $9,999.99-$1,070,000.00 via 90,909+ of Series Seed I Preferred Stock at $0.11 by 2021-10-05Costing 7% in cash and 0% in equity
  • As of 2022-02-07, raising $99,999.99-$4,044,908.87 via 1,111,111+ of Preferred Stock at $0.11 by 2022-04-30Costing 7% in cash and 0% in equity
  • As of 2022-04-22, raising $99,999.99-$4,044,908.87 via 1,111,111+ of Preferred Stock at $0.11 by 2023-04-30Costing 7% in cash and 0% in equity
Filing date2020-05-262020-06-192021-04-052022-02-072022-04-22
Current employees1111171010
Act received most recent fiscal year$352,691.10$352,691.00$59,534.00$59,534.00$71,109.00
Act received prior fiscal year$85,272.19$85,272.00$352,691.00$352,691.00$59,534.00
Cash equi most recent fiscal year$183,770.13$183,784.00$483,012.00$483,012.00$22,643.00
Cash equi prior fiscal year$223,049.30$223,050.00$183,770.00$183,770.00$483,012.00
Cost goods sold most recent fiscal year$471,028.75$471,029.00$623,445.00$623,445.00$587,337.00
Cost goods sold prior fiscal year$126,665.55$126,666.00$471,029.00$471,029.00$623,445.00
Long term debt most recent fiscal year$3,431,458.52$3,376,007.00$3,770,127.00$3,770,127.00$43,475.00
Long term debt prior fiscal year$1,456,007.01$1,456,007.00$3,512,526.00$3,517,601.00$3,770,127.00
Net income most recent fiscal year-$1,631,738.78-$1,631,727.00-$2,912,074.00-$2,912,074.00-$1,457,336.00
Net income prior fiscal year-$1,039,949.62-$1,039,950.00-$1,755,950.00-$1,755,950.00-$2,912,074.00
Revenue most recent fiscal year$674,112.79$674,113.00$617,986.00$617,986.00$838,528.00
Revenue prior fiscal year$147,047.97$147,048.00$674,113.00$674,113.00$617,986.00
Short term debt most recent fiscal year$373,133.69$428,567.00$3,228,231.00$3,228,231.00$3,024,931.00
Short term debt prior fiscal year$208,431.59$208,432.00$373,114.00$373,114.00$3,228,231.00
Tax paid most recent fiscal year$0.00$0.00$0.00$0.00$0.00
Tax paid prior fiscal year$0.00$0.00$0.00$0.00$0.00
Total asset most recent fiscal year$974,606.19$974,620.00$1,226,363.00$1,226,363.00$749,904.00
Total asset prior fiscal year$455,563.89$455,564.00$974,606.00$974,606.00$1,226,363.00
Offering via Wefunder Portal LLC aka Wefunder
  • As of 2020-05-26, raising $200,000.00-$1,070,000.00 via 200,000+ of Convertible Note at $1.00 by 2020-09-25Costing 7% in cash and 0% in equity
  • As of 2021-04-05, raising $9,999.99-$1,070,000.00 via 90,909+ of Series Seed I Preferred Stock at $0.11 by 2021-10-05Costing 7% in cash and 0% in equity
  • As of 2021-06-22, raising $9,999.99-$1,070,000.00 via 90,909+ of Series Seed I Preferred Stock at $0.11 by 2021-10-05Costing 7% in cash and 0% in equity
  • As of 2022-02-07, raising $99,999.99-$4,044,908.87 via 1,111,111+ of Preferred Stock at $0.11 by 2022-04-30Costing 7% in cash and 0% in equity
  • As of 2022-04-22, raising $99,999.99-$4,044,908.87 via 1,111,111+ of Preferred Stock at $0.11 by 2023-04-30Costing 7% in cash and 0% in equity
Filing date2020-05-262020-06-192021-04-052022-02-072022-04-22
Current employees1111171010
Act received most recent fiscal year$352,691.10$352,691.00$59,534.00$59,534.00$71,109.00
Act received prior fiscal year$85,272.19$85,272.00$352,691.00$352,691.00$59,534.00
Cash equi most recent fiscal year$183,770.13$183,784.00$483,012.00$483,012.00$22,643.00
Cash equi prior fiscal year$223,049.30$223,050.00$183,770.00$183,770.00$483,012.00
Cost goods sold most recent fiscal year$471,028.75$471,029.00$623,445.00$623,445.00$587,337.00
Cost goods sold prior fiscal year$126,665.55$126,666.00$471,029.00$471,029.00$623,445.00
Long term debt most recent fiscal year$3,431,458.52$3,376,007.00$3,770,127.00$3,770,127.00$43,475.00
Long term debt prior fiscal year$1,456,007.01$1,456,007.00$3,512,526.00$3,517,601.00$3,770,127.00
Net income most recent fiscal year-$1,631,738.78-$1,631,727.00-$2,912,074.00-$2,912,074.00-$1,457,336.00
Net income prior fiscal year-$1,039,949.62-$1,039,950.00-$1,755,950.00-$1,755,950.00-$2,912,074.00
Revenue most recent fiscal year$674,112.79$674,113.00$617,986.00$617,986.00$838,528.00
Revenue prior fiscal year$147,047.97$147,048.00$674,113.00$674,113.00$617,986.00
Short term debt most recent fiscal year$373,133.69$428,567.00$3,228,231.00$3,228,231.00$3,024,931.00
Short term debt prior fiscal year$208,431.59$208,432.00$373,114.00$373,114.00$3,228,231.00
Tax paid most recent fiscal year$0.00$0.00$0.00$0.00$0.00
Tax paid prior fiscal year$0.00$0.00$0.00$0.00$0.00
Total asset most recent fiscal year$974,606.19$974,620.00$1,226,363.00$1,226,363.00$749,904.00
Total asset prior fiscal year$455,563.89$455,564.00$974,606.00$974,606.00$1,226,363.00
Offering via StartEngine Capital LLC aka StartEngine
  • As of 2020-05-26, raising $200,000.00-$1,070,000.00 via 200,000+ of Convertible Note at $1.00 by 2020-09-25Costing 7% in cash and 0% in equity
  • As of 2021-04-05, raising $9,999.99-$1,070,000.00 via 90,909+ of Series Seed I Preferred Stock at $0.11 by 2021-10-05Costing 7% in cash and 0% in equity
  • As of 2021-06-22, raising $9,999.99-$1,070,000.00 via 90,909+ of Series Seed I Preferred Stock at $0.11 by 2021-10-05Costing 7% in cash and 0% in equity
  • As of 2022-02-07, raising $99,999.99-$4,044,908.87 via 1,111,111+ of Preferred Stock at $0.11 by 2022-04-30Costing 7% in cash and 0% in equity
  • As of 2022-04-22, raising $99,999.99-$4,044,908.87 via 1,111,111+ of Preferred Stock at $0.11 by 2023-04-30Costing 7% in cash and 0% in equity
Filing date2020-05-262020-06-192021-04-052022-02-072022-04-22
Current employees1111171010
Act received most recent fiscal year$352,691.10$352,691.00$59,534.00$59,534.00$71,109.00
Act received prior fiscal year$85,272.19$85,272.00$352,691.00$352,691.00$59,534.00
Cash equi most recent fiscal year$183,770.13$183,784.00$483,012.00$483,012.00$22,643.00
Cash equi prior fiscal year$223,049.30$223,050.00$183,770.00$183,770.00$483,012.00
Cost goods sold most recent fiscal year$471,028.75$471,029.00$623,445.00$623,445.00$587,337.00
Cost goods sold prior fiscal year$126,665.55$126,666.00$471,029.00$471,029.00$623,445.00
Long term debt most recent fiscal year$3,431,458.52$3,376,007.00$3,770,127.00$3,770,127.00$43,475.00
Long term debt prior fiscal year$1,456,007.01$1,456,007.00$3,512,526.00$3,517,601.00$3,770,127.00
Net income most recent fiscal year-$1,631,738.78-$1,631,727.00-$2,912,074.00-$2,912,074.00-$1,457,336.00
Net income prior fiscal year-$1,039,949.62-$1,039,950.00-$1,755,950.00-$1,755,950.00-$2,912,074.00
Revenue most recent fiscal year$674,112.79$674,113.00$617,986.00$617,986.00$838,528.00
Revenue prior fiscal year$147,047.97$147,048.00$674,113.00$674,113.00$617,986.00
Short term debt most recent fiscal year$373,133.69$428,567.00$3,228,231.00$3,228,231.00$3,024,931.00
Short term debt prior fiscal year$208,431.59$208,432.00$373,114.00$373,114.00$3,228,231.00
Tax paid most recent fiscal year$0.00$0.00$0.00$0.00$0.00
Tax paid prior fiscal year$0.00$0.00$0.00$0.00$0.00
Total asset most recent fiscal year$974,606.19$974,620.00$1,226,363.00$1,226,363.00$749,904.00
Total asset prior fiscal year$455,563.89$455,564.00$974,606.00$974,606.00$1,226,363.00
Offering via Wefunder Portal LLC aka Wefunder
  • As of 2020-05-26, raising $200,000.00-$1,070,000.00 via 200,000+ of Convertible Note at $1.00 by 2020-09-25Costing 7% in cash and 0% in equity
  • As of 2021-04-05, raising $9,999.99-$1,070,000.00 via 90,909+ of Series Seed I Preferred Stock at $0.11 by 2021-10-05Costing 7% in cash and 0% in equity
  • As of 2021-06-22, raising $9,999.99-$1,070,000.00 via 90,909+ of Series Seed I Preferred Stock at $0.11 by 2021-10-05Costing 7% in cash and 0% in equity
  • As of 2022-02-07, raising $99,999.99-$4,044,908.87 via 1,111,111+ of Preferred Stock at $0.11 by 2022-04-30Costing 7% in cash and 0% in equity
  • As of 2022-04-22, raising $99,999.99-$4,044,908.87 via 1,111,111+ of Preferred Stock at $0.11 by 2023-04-30Costing 7% in cash and 0% in equity
Filing date2020-05-262020-06-192021-04-052022-02-072022-04-22
Current employees1111171010
Act received most recent fiscal year$352,691.10$352,691.00$59,534.00$59,534.00$71,109.00
Act received prior fiscal year$85,272.19$85,272.00$352,691.00$352,691.00$59,534.00
Cash equi most recent fiscal year$183,770.13$183,784.00$483,012.00$483,012.00$22,643.00
Cash equi prior fiscal year$223,049.30$223,050.00$183,770.00$183,770.00$483,012.00
Cost goods sold most recent fiscal year$471,028.75$471,029.00$623,445.00$623,445.00$587,337.00
Cost goods sold prior fiscal year$126,665.55$126,666.00$471,029.00$471,029.00$623,445.00
Long term debt most recent fiscal year$3,431,458.52$3,376,007.00$3,770,127.00$3,770,127.00$43,475.00
Long term debt prior fiscal year$1,456,007.01$1,456,007.00$3,512,526.00$3,517,601.00$3,770,127.00
Net income most recent fiscal year-$1,631,738.78-$1,631,727.00-$2,912,074.00-$2,912,074.00-$1,457,336.00
Net income prior fiscal year-$1,039,949.62-$1,039,950.00-$1,755,950.00-$1,755,950.00-$2,912,074.00
Revenue most recent fiscal year$674,112.79$674,113.00$617,986.00$617,986.00$838,528.00
Revenue prior fiscal year$147,047.97$147,048.00$674,113.00$674,113.00$617,986.00
Short term debt most recent fiscal year$373,133.69$428,567.00$3,228,231.00$3,228,231.00$3,024,931.00
Short term debt prior fiscal year$208,431.59$208,432.00$373,114.00$373,114.00$3,228,231.00
Tax paid most recent fiscal year$0.00$0.00$0.00$0.00$0.00
Tax paid prior fiscal year$0.00$0.00$0.00$0.00$0.00
Total asset most recent fiscal year$974,606.19$974,620.00$1,226,363.00$1,226,363.00$749,904.00
Total asset prior fiscal year$455,563.89$455,564.00$974,606.00$974,606.00$1,226,363.00