GPCO
NASDAQ:GPCOW
Golden Path Acquisition Corporation
- Stock
Last Close
0.83
17/09 20:00
Market Cap
427.33M
Beta: -
Volume Today
206.47K
Avg: -
PE Ratio
−2.09
PFCF: −1.18
Preview
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Mar '20 | Jun '20 | Sep '20 | Dec '20 | Mar '21 | Jun '21 | Sep '21 | Dec '21 | Mar '22 | Jun '22 | Sep '22 | Dec '22 | Mar '23 | Jun '23 | Sep '23 | Dec '23 | Mar '24 | Jun '24 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
net income | -86 - | -4.80K 5,487.21% | 58.57K 1,318.91% | 5.09M 8,582.12% | 3.14M 38.22% | 4.38M 39.48% | 1.05M 76.01% | 4.17M 296.84% | 3.40M 18.51% | 15.06M 342.98% | 11.81M 21.57% | -27.08M 329.32% | -3.61M 86.65% | -4.14M 14.66% | -26.36M 535.93% | -26.36M 0% | -60.36M 129.03% | -60.36M 0% | |
depreciation and amortization | 98.53K - | 263.21K 167.12% | 255.60K 2.89% | 261.91K 2.47% | 255.57K 2.42% | 274.02K 7.22% | 320.70K 17.04% | 2.06M 542.12% | 2.21M 7.35% | 367.97K 83.35% | 318.58K 13.42% | 2.17M 579.58% | 1.44M 33.48% | 1.44M 0% | 492.40K 65.81% | 492.40K 0% | |||
deferred income tax | -38.21K - | 14.72K 138.53% | 53.15K 261.02% | -59.68K 212.28% | -40.02K 32.94% | -85.54K 113.74% | -73.18K 14.45% | -1.22M 1,567.65% | 416.66K 134.14% | 47.22K 88.67% | -28.45K 160.25% | -748.14K 2,529.75% | |||||||
stock based compensation | 43.73K - | -1.44K - | 1.29 - | 16.08M 1,243,887,130.48% | 16.08M 0% | 477.04K 97.03% | 477.04K 0% | ||||||||||||
change in working capital | -681.86K - | -7.30M 970.30% | 3.02M 141.36% | -2.05M 167.90% | 9.16M 547.04% | -7.69M 183.91% | -3.38M 56.04% | 1.70M 150.44% | 2.38M 39.71% | 1.56M 34.39% | -259.80K 116.63% | -4.59M 1,667.93% | 32.03M 797.45% | 32.03M 0% | -4.85M 115.14% | -4.85M 0% | |||
accounts receivables | -804.00K - | -12.24M 1,422.84% | 2.88M 123.53% | -8.42M 392.38% | 8.81M 204.65% | -1.47M 116.69% | -5.03M 242.13% | 12.33M 345.03% | -9.99M 181.01% | 1.92M 119.24% | 7.29K 99.62% | -782.11K 10,828.48% | 35.76M 4,672.00% | 35.76M 0% | -6.85M 119.15% | -6.85M 0% | |||
inventory | -91.15K - | -574.71K 530.51% | -846.75K 47.34% | 735.68K 186.88% | 568.24K 22.76% | -9.24K 101.63% | 2.18K 123.62% | 605.47K 27,639.35% | 249.22K 58.84% | -96.99K 138.92% | -18.92K 80.49% | 33.81K 278.68% | 240.22K 610.58% | 240.22K 0% | 62.49K 73.98% | 62.49K 0% | |||
accounts payables | 344.46K - | 5.64M 1,536.89% | -154.27K 102.74% | 6.22M 4,132.52% | 209.32K 96.64% | -7.22M 3,549.01% | 2.63M 136.38% | -8.25M 414.00% | -1.73M 79.05% | 1.17M 167.46% | -61.98K 105.32% | 2.22M 3,681.47% | |||||||
other working capital | -131.17K - | -117.95K 10.08% | 1.14M 1,065.84% | -584.74K 151.33% | -428.69K 26.69% | 1.01M 336.09% | -974.98K 196.33% | -2.99M 206.37% | 13.85M 563.67% | -1.43M 110.31% | -186.19K 86.96% | -6.06M 3,157.28% | -3.96M 34.64% | -3.96M 0% | 1.93M 148.81% | 1.93M 0% | |||
other non cash items | 49.76K - | 23.95K 51.87% | -1.06K 104.43% | 2.97K 380.28% | 121.50K 3,989.37% | -69.60K 157.29% | -39.53K 43.21% | 1.15M 3,006.07% | -2.56M 322.95% | 220.34K 108.60% | 2.12M 862.02% | 1.08M 48.85% | -28.91M 2,766.62% | -28.91M 0% | 2.88M 109.95% | 2.88M 0% | |||
net cash provided by operating activities | -86 - | -4.80K 5,487.21% | -513.21K 10,580.75% | -1.91M 272.36% | 6.47M 438.45% | 2.54M 60.77% | 10.55M 315.78% | -3.40M 132.20% | 271.48K 107.99% | 18.75M 6,806.80% | 14.26M 23.96% | -24.89M 274.55% | -1.46M 94.11% | -6.24M 325.81% | -5.71M 8.41% | -5.71M 0% | -61.37M 974.41% | -61.37M 0% | |
investments in property plant and equipment | -1.96K - | -5.24K 166.58% | -5.59K 6.70% | -9.57K 71.28% | -893.49 90.66% | -705.13 21.08% | -1.81M 256,257.27% | -2.94K 99.84% | -16.05K 446.69% | -31.17K 94.26% | -130.98K 320.21% | -214.56K 63.82% | -214.56K 0% | -5.96K 97.22% | -5.96K 0% | ||||
acquisitions net | 28.63K - | 156.28K 445.84% | -456.26K - | -118.18K 74.10% | -518.89K - | -87.69K 83.10% | |||||||||||||
purchases of investments | -1.57M - | 10M 735.77% | 10M - | -600K - | |||||||||||||||
sales maturities of investments | 0.00 - | ||||||||||||||||||
other investing activites | -0.00 - | -7.27M - | -9.43M 29.71% | 4.10M 143.50% | 523.69K 87.23% | 10.00M 1,809.54% | 3.70M 63.02% | -9.89M 367.46% | 603.47K - | -53.49M - | -53.49M 0% | ||||||||
net cash used for investing activites | 28.63K - | 154.32K 438.98% | -5.24K 103.39% | -7.28M 138,850.79% | -9.90M 36.02% | 3.98M 140.25% | -1.05M 126.36% | 18.19M 1,832.75% | 3.69M 79.69% | -424.58K 111.49% | -118.86K 72.01% | -127.51K 7.27% | -214.56K 68.28% | -214.56K 0% | -53.49M 24,830.84% | -53.49M 0% | |||
debt repayment | -190.28 - | -2.21K 1,062.10% | -60K - | -4.96K 91.74% | -59.92K 1,109.27% | -27.83K 53.55% | |||||||||||||
common stock issued | 1.04M - | ||||||||||||||||||
common stock repurchased | -1.04M - | ||||||||||||||||||
dividends paid | -44.57K - | -44.57K - | |||||||||||||||||
other financing activites | 4.88K - | 1.19M 24,225.27% | 5.44M 358.79% | -1.56M 128.57% | 2.73M 275.48% | -1.45M 153.24% | 76.87K 105.29% | 138.84K 80.62% | 2.85K 97.95% | 233.91M 8,204,444.55% | 386.15K 99.83% | -42.34K 110.97% | 57.34K 235.41% | 1.44M 2,410.19% | 1.44M 0% | 366.82M 25,387.74% | 366.82M 0% | ||
net cash used provided by financing activities | 4.88K - | 1.19M 24,225.27% | 5.44M 358.79% | -1.56M 128.57% | 2.73M 275.48% | -1.45M 153.23% | 74.66K 105.14% | 138.84K 85.97% | -41.72K 130.05% | 233.85M 560,653.15% | 336.62K 99.86% | -102.26K 130.38% | 29.50K 128.85% | 1.44M 4,778.04% | 1.44M 0% | 366.82M 25,387.74% | 366.82M 0% | ||
effect of forex changes on cash | -60.64K - | 39.45K 165.05% | -52.91K 234.14% | 2.62K 104.95% | -31.73K 1,312.35% | -8.89K 71.98% | 778.20K 8,854.25% | 709.65K 8.81% | -794.20K 211.91% | 104.27K 113.13% | 2.37M 2,173.72% | -630.86K 126.61% | -630.86K 0% | 49.39K 107.83% | 49.39K 0% | ||||
net change in cash | -86 - | 73 184.88% | 707.47K 969,034.27% | 3.63M 413.54% | 4.95M 36.15% | -1.98M 139.97% | -800.51K 59.51% | 700.96K 187.56% | -648.48K 192.51% | 37.68M 5,910.46% | 252.51M 570.16% | -24.97M 109.89% | -1.58M 93.67% | -3.63M 129.44% | -5.12M 41.05% | -5.12M 0% | 252.01M 5,024.29% | 252.01M 0% | |
cash at beginning of period | 100 - | 14 86% | 355.70K 2,540,620.06% | 1.06M 198.89% | 4.66M 338.46% | 9.61M 106.11% | 7.63M 20.58% | 6.83M 10.49% | 7.55M 10.55% | 43.88M 481.17% | 81.56M 85.86% | 46.88M 42.52% | 21.91M 53.26% | 139.90M 538.52% | 136.27M 2.59% | ||||
cash at end of period | 14 - | 87 521.43% | 1.06M 1,221,933.13% | 4.70M 341.73% | 9.61M 104.59% | 7.63M 20.58% | 6.83M 10.49% | 7.53M 10.26% | 6.90M 8.35% | 81.56M 1,081.65% | 334.08M 309.59% | 21.91M 93.44% | 20.33M 7.22% | 136.27M 570.34% | 131.16M 3.76% | -5.12M 103.90% | 252.01M 5,024.29% | 252.01M 0% | |
operating cash flow | -86 - | -4.80K 5,487.21% | -513.21K 10,580.75% | -1.91M 272.36% | 6.47M 438.45% | 2.54M 60.77% | 10.55M 315.78% | -3.40M 132.20% | 271.48K 107.99% | 18.75M 6,806.80% | 14.26M 23.96% | -24.89M 274.55% | -1.46M 94.11% | -6.24M 325.81% | -5.71M 8.41% | -5.71M 0% | -61.37M 974.41% | -61.37M 0% | |
capital expenditure | -1.96K - | -5.24K 166.58% | -5.59K 6.70% | -9.57K 71.28% | -893.49 90.66% | -705.13 21.08% | -1.81M 256,257.27% | -2.94K 99.84% | -16.05K 446.69% | -31.17K 94.26% | -130.98K 320.21% | -214.56K 63.82% | -214.56K 0% | -5.96K 97.22% | -5.96K 0% | ||||
free cash flow | -86 - | -4.80K 5,487.21% | -513.21K 10,580.75% | -1.91M 272.75% | 6.46M 437.83% | 2.53M 60.82% | 10.54M 316.31% | -3.40M 132.24% | 270.78K 107.97% | 16.94M 6,157.23% | 14.25M 15.87% | -24.90M 274.70% | -1.50M 93.99% | -6.37M 325.70% | -5.93M 6.93% | -5.93M 0% | -61.37M 935.61% | -61.37M 0% |
All numbers in USD (except ratios and percentages)