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Amaze Holdings, Inc. Amaze Holdings, Inc.

Amaze Holdings, Inc.

AMZE
Rank in Stocks #37354
Amaze Holdings, Inc. operates a comprehensive, creator-centric e-commerce... Amaze Holdings, Inc. operates a comprehensive, creator-centric e-commerce platform that delivers a full spectrum of services. This platform furnishes creators with intuitive tools for product development, sophisticated online retail capabilities, and flexible managed services. It is designed to simplify various commercial endeavors, including the sale of goods, management of subscriptions, and dissemination of digital content. The platform supports a wide array of users, from independent digital entrepreneurs to small businesses, by seamlessly integrating features such as personalized storefronts, secure payment processing, merchandising functionalities, and insightful performance analytics. Furthermore, Amaze Holdings is engaged in the wine sector, distributing wines to mass markets across the United States and Puerto Rico through both wholesale and direct-to-consumer channels. Originally founded in Newport Beach, California, in 2019, the company adopted its current name, Amaze Holdings, Inc., in March 2025, having previously been known as Fresh Vine Wine, Inc.
Share Price
$0.2438
Last synced: 2026-08-14
Market Cap
$1.79M
Change (1 day)
18.93%
Change (1 year)
-92.85%
Country
US
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Revenue for Amaze Holdings, Inc. (AMZE)
Revenue in Aug 2026 TTM: 0
According to Amaze Holdings, Inc. latest financial reports the company's current revenue (TTM) is 0. In 2026 the company made a revenue of 0 equal to the revenue in the year 2026 that was 0. The revenue is the total amount of income that a company generates by the sale of goods or services. Unlike with the earnings no expenses are subtracted.
Revenue history for Amaze Holdings, Inc. from 2026 to 2026
Revenue at the end of each year
Year Revenue Change
Not enough data for the provided dates.
Revenue for similar companies or competitors
Company Revenue Revenue Difference Country
- -
DE
- -
CA
$42.83B -
US
$55.23B -
US
$14.73B -
US