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GigaCloud Technology Inc

GCT

22.000USD

+1.030+4.91%
Cierre 08/04, 16:00ETCotizaciones retrasadas 15 min
856.88MCap. mercado
6.81P/E TTM
Trimestral
Trimestral+Anual
Trimestral
Anual
YOY
Ocultar filas en blanco
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q2
FY2021Q1
Activos actuales
Efectivo, equivalentes de efectivo e inversiones a corto plazo
46.87%286.81M
65.01%302.43M
21.39%259.75M
14.50%207.82M
20.06%195.29M
27.70%183.28M
84.18%213.99M
269.00%181.51M
232.90%162.66M
127.11%143.53M
--116.18M
1.68%49.19M
-9.44%48.86M
--63.20M
--48.37M
--53.96M
Efectivo y equivalentes de efectivo
35.90%251.71M
41.73%259.76M
1.68%217.58M
2.27%185.62M
13.86%185.21M
27.70%183.28M
84.18%213.99M
269.00%181.51M
232.90%162.66M
127.11%143.53M
--116.18M
1.68%49.19M
-9.44%48.86M
--63.20M
--48.37M
--53.96M
-Inversiones a corto plazo
248.40%35.10M
--42.67M
--42.17M
--22.20M
--10.07M
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Por cobrar
12.79%67.00M
-6.73%64.19M
98.99%62.55M
128.59%69.61M
99.26%59.40M
120.88%68.82M
41.83%31.43M
29.93%30.45M
20.58%29.81M
43.15%31.16M
--22.16M
-19.53%23.44M
-36.98%24.72M
--21.77M
--29.13M
--39.23M
-Cuentas y pagarés por cobrar
12.79%67.00M
-2.65%57.31M
98.99%62.55M
128.59%69.61M
99.26%59.40M
116.92%58.88M
41.83%31.43M
29.93%30.45M
41.20%29.81M
50.49%27.14M
--22.16M
-7.03%23.44M
-36.37%21.11M
--18.04M
--25.21M
--33.18M
-Otros por cobrar
----
-42.43%5.72M
----
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----
160.75%9.95M
----
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20.51%3.81M
----
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-40.33%3.61M
--3.17M
--3.76M
--6.05M
Inventario
10.06%204.85M
30.43%172.49M
122.55%183.32M
133.00%197.55M
131.39%186.13M
68.82%132.25M
-1.25%82.37M
-17.99%84.79M
-27.36%80.44M
-3.81%78.34M
--83.42M
58.45%103.39M
144.05%110.74M
--81.44M
--65.25M
--45.38M
Gastos prepago
4.76%19.84M
6.33%5.83M
67.02%21.35M
75.97%17.48M
89.86%18.94M
121.76%5.48M
74.68%12.79M
47.34%9.93M
401.81%9.98M
-50.80%2.47M
--7.32M
-42.51%6.74M
-54.59%1.99M
--5.02M
--11.72M
--4.38M
Otros activos corrientes
-22.04%697.00K
-10.79%2.65M
-17.66%746.00K
0.78%905.00K
-42.21%894.00K
13.34%2.97M
-41.28%906.00K
-41.76%898.00K
55.79%1.55M
164.78%2.62M
--1.54M
-59.40%1.54M
-78.31%993.00K
--991.00K
--3.80M
--4.58M
Total de activos corrientes
25.74%579.21M
39.40%547.59M
54.54%527.72M
60.41%493.37M
61.95%460.65M
52.18%392.81M
48.07%341.48M
66.89%307.57M
51.85%284.44M
49.71%258.12M
--230.62M
16.44%184.29M
26.97%187.31M
--172.42M
--158.27M
--147.52M
Activos no corrientes
Activos fijos netos
-2.16%471.38M
13.67%481.43M
187.42%505.04M
259.21%518.16M
222.27%481.80M
169.39%423.54M
27.16%175.71M
-1.76%144.25M
-4.59%149.50M
1319.60%157.22M
--138.19M
2238.04%146.83M
2346.49%156.70M
--11.07M
--6.28M
--6.41M
-Activos fijos
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14.82%492.03M
----
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168.13%428.51M
----
----
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1198.58%159.82M
----
----
2162.82%158.24M
--12.31M
--7.00M
--6.99M
-Depreciación acumulada
----
113.10%10.60M
----
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91.75%4.98M
----
----
----
110.63%2.59M
----
----
162.07%1.54M
--1.23M
--725.00K
--588.00K
Fondo de comercio y otros activos intangibles
-9.44%18.48M
-10.35%18.78M
--19.32M
--19.86M
--20.41M
--20.95M
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Otros activos no actuales
48.95%21.97M
135.84%22.67M
69.02%21.26M
632.09%23.63M
352.10%14.75M
195.15%9.61M
286.90%12.58M
-23.14%3.23M
1.84%3.26M
-0.79%3.26M
--3.25M
3825.23%4.20M
1095.52%3.20M
--3.28M
--107.00K
--268.00K
Total de activos no actuales
-0.99%511.83M
15.15%522.88M
189.77%545.62M
280.85%561.65M
238.40%516.95M
182.97%454.10M
33.13%188.29M
-2.35%147.47M
-4.47%152.76M
1017.69%160.48M
--141.44M
2264.63%151.03M
2296.25%159.90M
--14.36M
--6.39M
--6.67M
Total de activos
11.60%1.09B
26.40%1.07B
102.60%1.07B
131.85%1.06B
123.61%977.61M
102.32%846.91M
42.39%529.78M
35.70%455.05M
25.92%437.20M
124.12%418.60M
--372.06M
103.65%335.32M
125.18%347.21M
--186.78M
--164.66M
--154.19M
Pasivos
Pasivos corrientes
-Otros por pagar
--87.40M
46.63%71.18M
----
--71.20M
----
60.80%48.54M
----
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110.99%30.19M
----
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20.27%18.86M
--14.31M
--12.83M
--15.69M
Gastos acumulados
----
16.40%8.28M
29.18%69.59M
----
59.45%66.57M
79.68%7.11M
99.04%53.87M
102.95%45.69M
1375.79%41.75M
28.89%3.96M
--27.06M
465.32%22.51M
-31.78%2.83M
--3.07M
--3.98M
--4.15M
Deuda a corto plazo y pasivos por arrendamiento
--113.00K
-91.60%140.00K
----
955.77%549.00K
----
-46.65%1.67M
-97.20%7.00K
-82.25%52.00K
-96.32%131.00K
16.18%3.12M
--250.00K
-79.64%293.00K
151.70%3.56M
--2.69M
--1.44M
--1.41M
-Pasivos por arrendamiento a corto plazo
--113.00K
-91.60%140.00K
----
--549.00K
----
-42.87%1.67M
----
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24.46%2.92M
----
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209.58%3.23M
--2.34M
--1.07M
--1.04M
Pasivos diferidos
-25.01%5.67M
-18.98%4.49M
42.73%5.33M
210.42%6.50M
255.32%7.55M
176.71%5.54M
79.65%3.73M
-19.96%2.09M
-42.10%2.13M
-45.77%2.00M
--2.08M
-37.15%2.62M
-48.50%3.67M
--3.69M
--4.16M
--7.13M
Otros pasivos corrientes
1131.96%93.06M
39.91%75.66M
42.73%5.33M
3612.47%77.70M
255.32%7.55M
68.00%54.08M
79.65%3.73M
-19.96%2.09M
-90.57%2.13M
78.85%32.19M
--2.08M
-84.61%2.62M
-1.22%22.54M
--18.00M
--16.99M
--22.82M
Total pasivos corrientes
15.95%291.81M
28.48%264.38M
76.11%247.33M
113.94%249.01M
122.99%251.68M
100.49%205.77M
50.46%140.44M
30.31%116.39M
12.06%112.86M
79.93%102.64M
--93.34M
65.27%89.32M
75.72%100.72M
--57.04M
--54.05M
--57.32M
Pasivos no corrientes
Deuda a largo plazo y pasivos por arrendamiento
-5.02%380.84M
15.06%395.24M
218.58%418.92M
324.79%440.60M
266.20%400.99M
194.70%343.51M
37.48%131.50M
-1.31%103.72M
-2.02%109.50M
49083.12%116.56M
--95.65M
21794.38%105.09M
19336.87%111.76M
--237.00K
--480.00K
--575.00K
-Deuda a largo plazo
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-100.00%0.00
--8.00K
-88.54%55.00K
-75.13%143.00K
--237.00K
--480.00K
--575.00K
-Pasivos por arrendamiento a largo plazo
-5.02%380.84M
15.06%395.24M
218.58%418.92M
324.79%440.60M
266.20%400.99M
194.70%343.51M
37.49%131.50M
-1.25%103.72M
-1.90%109.50M
--116.56M
--95.64M
--105.04M
--111.62M
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Otros pasivos no corrientes
33.60%4.49M
30.86%4.32M
9.17%3.52M
15.13%3.47M
13.64%3.36M
14.10%3.30M
-5.53%3.23M
-11.27%3.01M
180.00%2.95M
180.15%2.89M
--3.42M
--3.40M
--1.05M
--1.03M
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Total pasivos no corrientes
-5.35%386.33M
14.30%400.88M
214.96%425.62M
315.78%447.60M
260.66%408.15M
190.34%350.72M
34.42%135.13M
-2.94%107.65M
-2.26%113.17M
2996.56%120.80M
--100.53M
6092.96%110.92M
5277.98%115.79M
--3.90M
--1.79M
--2.15M
Total pasivos
2.78%678.14M
19.54%665.26M
144.20%672.96M
210.92%696.60M
191.92%659.83M
149.06%556.49M
42.14%275.58M
11.89%224.04M
4.40%226.03M
266.62%223.44M
--193.87M
258.61%200.24M
264.05%216.51M
--60.95M
--55.84M
--59.47M
Capital de los accionistas
Capital ordinario
8.30%123.54M
7.49%122.31M
14.17%129.44M
13.49%128.00M
2.45%114.07M
2.43%113.79M
3.04%113.38M
193.46%112.78M
189.70%111.34M
192.38%111.08M
--110.03M
3.03%38.43M
3.39%38.43M
--37.99M
--37.30M
--37.17M
Ganancias retenidas
59.11%326.01M
68.18%298.86M
91.77%272.55M
96.62%231.86M
105.86%204.89M
112.58%177.70M
99.85%142.12M
66.90%117.92M
53.29%99.53M
38.03%83.59M
--71.11M
58.44%70.65M
106.28%64.93M
--60.56M
--44.59M
--31.48M
Reservas de capital
8.46%121.49M
7.63%120.26M
14.40%127.36M
13.72%125.92M
2.48%112.02M
2.46%111.74M
3.09%111.33M
194.21%110.73M
190.40%109.30M
191.27%109.05M
--108.00M
2.20%37.64M
2.56%37.64M
--37.44M
--36.83M
--36.70M
Menos: Acciones en tesorería
2067.50%34.55M
641.28%11.82M
-0.06%1.59M
159300.00%1.59M
79600.00%1.59M
590.04%1.59M
570.17%1.59M
-99.58%1.00K
-99.16%2.00K
--231.00K
--238.00K
--238.00K
--238.00K
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Pérdidas de ganancias que no afectan a las ganancias retenidas
-606.28%-2.10M
-886.31%-4.14M
-102.04%-6.00K
-50.50%150.00K
-32.13%414.00K
-34.58%526.00K
111.15%294.00K
115.53%303.00K
360.68%610.00K
587.27%804.00K
---2.64M
-1342.68%-1.95M
27.55%-234.00K
---165.00K
--157.00K
---323.00K
Capital total
29.93%412.90M
39.53%405.22M
57.51%400.39M
55.16%358.42M
50.49%317.78M
48.81%290.42M
42.66%254.20M
71.01%231.00M
61.56%211.16M
55.10%195.16M
--178.19M
24.13%135.08M
37.99%130.70M
--125.83M
--108.82M
--94.72M
Unidad monetaria
USD
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Opiniones de evaluación
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