67 /100
HIGH RISK
Score updated Jul 14, 2026

CITR — CitroTech Inc. Dilution Risk Tracker

Track CITR dilution risk with DilutionWatch's stock tracker. DilutionScore™ measures dilution risk across 5 factors — lower scores indicate higher risk of share dilution.

⚠️ Not financial advice. Do your own research before making any investment decisions.

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As of July 14, 2026, CitroTech Inc. (CITR) has a DilutionWatch DilutionScore of 67/100, rated HIGH dilution risk. CitroTech Inc. has 22.36M shares outstanding, 20 institutional holders tracked. Key dilution vectors include shelf registration capacity of $1.00B, approximately 16 months of cash runway.

Source: DilutionWatch (dilutionwatch.com) — data updated daily from SEC EDGAR filings. Not financial advice.

📊 Score Breakdown

📋 Offering Ability
100
💰 Cash Runway
40
📊 Float Risk
22
⚠️ Warrant Exposure
40
🔄Convertible Debt

🌦️ Dilution Forecast

Watch
Minor dilution signals detected
13%
💰 Capital Raise 20%
• Active shelf registration ($1000M, 100000000000% of market cap)
📉 Score Deterioration 10%
• Score in HIGH risk zone (67/100)
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💹 Market Data

Market CapN/A
Shares Outstanding22.36M
Float15.29M
Cash$4.29M
Debt$222.0K
Short InterestN/A

🏛 Institutional Holdings

20 institutional holders · 2.19M shares
#1 VANGUARD CAPITAL MANAGEMENT LLC 848.3K shares
#2 Lotus Technology Management, LP 750.0K shares
#3 GEODE CAPITAL MANAGEMENT, LLC 152.5K shares
+ 17 more holders Sign up free to view →

📉 Short Interest

Short Interest218.9K
Days to Cover3.1
% of Float1.4%
FINRA data as of Jun 30, 2026

📁 Recent SEC Activity

xbrl XBRL CONVERTIBLE Mar 31, 2026
xbrl XBRL WARRANT Mar 31, 2026
4 INSIDER TRANSACTION Apr 17, 2026
424B3 ATM Apr 15, 2026
EFFECT EFFECT Apr 14, 2026
Full SEC filing analysis available with free account

📰 Recent News

No recent news

📋 What This Means for CITR Shareholders

CitroTech Inc. (CITR) has a DilutionScore of 67/100, placing it in the High dilution risk tier. This score reflects at least one active dilution mechanism — a shelf registration, ATM program, outstanding warrants, or limited cash runway — that could materially increase the share count over the next 12–18 months. Score as of July 14, 2026, updated from SEC EDGAR data.

The most significant dilution vector for CITR is its shelf registration capacity of $1.00B. A shelf registration (typically an S-3 filing) gives a company pre-approved access to raise capital quickly without a traditional roadshow. The registered amount represents the maximum that can be raised — not necessarily what will be raised — but active shelves combined with tight cash positions are the pattern DilutionWatch monitors most closely. Cash runway is a key watch item: CITR has approximately 16 months of runway at current burn rate. Companies with less than 18 months of runway are statistically more likely to file new shelf registrations or ATM programs within the next two quarters. DilutionWatch monitors SEC 10-Q filings to update this estimate each quarter.

DilutionWatch tracks over 25 SEC filing types for CITR in real-time, scanning EDGAR every 60 seconds. A recent S-3 or registration statement filing appears in CITR's filing history — this warrants monitoring for subsequent prospectus supplements (Form 424B), which indicate active capital raising. The DilutionWatch screener shows real-time score changes for CITR alongside comparable high-risk stocks. Not financial advice — this analysis is for informational purposes only.

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→ Complete Dilution Guide for Retail Investors → Anti-Dilution Provisions Explained → Stock Dilution Red Flags to Watch → Understanding Shelf Registrations
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