Yippy Inc., an American company based in Marco Island, operates within the Communication Services sector, specifically focusing on Interactive Media & Services. The company is publicly traded on the OTC Bulletin Board, with its financial activities denominated in USD. As of December 22, 2025, Yippy Inc.’s close price was recorded at $0.0008. The company’s market capitalization stands at $61,580, reflecting its relatively small size within the industry.

Over the past year, Yippy Inc. has experienced significant price volatility. The stock reached a 52-week high of $0.2002 on March 23, 2025, and a low of $0.0001 on April 29, 2025. This wide range indicates a pronounced swing in investor sentiment and market conditions. As of the latest trading session, the stock price is positioned moderately within this historical range, trading above the 52-week low but substantially below the peak.

The company’s financial metrics reveal a Price Earnings (P/E) ratio of -0.026, suggesting that it is not currently generating profits. This negative P/E ratio is indicative of the challenges faced by Yippy Inc. in achieving profitability, which may be a concern for potential investors.

Yippy Inc. specializes in the design, development, marketing, distribution, and support of access and data management software, operating primarily in a cloud configuration within the United States. Despite its niche focus, the company has not attracted recent coverage or significant media attention. The most recent headline, dated April 9, 2025, mentioned a Trump-related comment on “yippy,” but no substantial developments have been reported since then.

In summary, Yippy Inc. is a small-cap company with a volatile stock price history and a current trading position that reflects moderate stability within its historical range. The company’s focus on cloud-based communication services positions it within a growing industry, but its financial performance and lack of recent coverage suggest that it faces ongoing challenges in gaining market traction and investor confidence.