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Markets
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Stocks
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nasdaq-gotu
/
Gaotu Techedu Inc
GOTU
3.120
USD
-0.045
-1.42%
Close 10/24, 16:00(ET)
Quotes delayed by 15 min
0.000
USD
0.000
Pre-market 10/27, 09:30 (ET)
416.88M
Market Cap
Loss
P/E TTM
Gaotu Techedu Inc
3.120
-0.045
-1.42%
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Analysis
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
Total equity
Cash, cash equivalents and short-term investments
6.30%
476.72M
-12.33%
337.90M
8.63%
436.17M
-6.49%
322.00M
-9.94%
448.48M
-20.29%
385.43M
-25.65%
401.51M
-26.45%
344.35M
3.32%
497.96M
0.69%
483.53M
-2.60%
540.03M
7.52%
468.17M
-37.18%
481.94M
-42.74%
480.21M
-53.14%
554.45M
81.36%
435.41M
121.35%
767.14M
279.82%
838.61M
434.88%
1.18B
60.03%
240.09M
40.74%
346.57M
409.01%
220.79M
--
221.22M
--
150.03M
--
246.25M
--
43.38M
- Cash and cash equivalents
-42.66%
113.86M
-15.11%
140.92M
105.94%
181.98M
-4.80%
117.83M
88.42%
198.59M
-3.43%
166.00M
-25.28%
88.37M
-2.77%
123.77M
24.12%
105.40M
18.13%
171.89M
2.51%
118.27M
4.51%
127.30M
-45.44%
84.92M
-68.05%
145.51M
110.99%
115.38M
325.51%
121.80M
372.41%
155.65M
472.42%
455.45M
417.13%
54.68M
523.24%
28.62M
288.84%
32.95M
1247.90%
79.57M
--
10.57M
--
4.59M
--
8.47M
--
5.90M
-Short-term investments
45.21%
362.86M
-10.23%
196.98M
-18.83%
254.18M
-7.44%
204.17M
-36.35%
249.89M
-29.59%
219.43M
-25.75%
313.14M
-35.29%
220.58M
-1.12%
392.56M
-6.89%
311.64M
-3.94%
421.76M
8.69%
340.87M
-35.07%
397.02M
-12.65%
334.69M
-61.09%
439.08M
48.31%
313.61M
94.98%
611.49M
171.31%
383.15M
435.77%
1.13B
45.40%
211.46M
31.90%
313.62M
276.86%
141.22M
--
210.65M
--
145.43M
--
237.78M
--
37.47M
Receivables
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
1.49M
--
1.46M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
0.00
--
0.00
--
2.59M
-Other receivables
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
1.49M
--
1.46M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
0.00
--
0.00
--
2.59M
Inventory
38.20%
7.45M
36.06%
4.34M
46.74%
5.01M
76.41%
7.35M
64.20%
5.39M
7.80%
3.19M
3.98%
3.42M
56.51%
4.17M
-7.79%
3.28M
5.05%
2.96M
33.14%
3.29M
-30.65%
2.66M
-63.35%
3.56M
-64.97%
2.81M
-66.65%
2.47M
-49.57%
3.84M
-3.87%
9.71M
--
8.04M
--
7.40M
--
7.61M
--
10.10M
--
--
--
--
--
--
--
--
--
--
Prepaid expenses
-11.55%
73.82M
-27.78%
61.15M
-32.92%
59.48M
-9.14%
76.51M
5.62%
83.46M
-4.72%
84.68M
53.72%
88.67M
76.85%
84.21M
75.68%
79.02M
91.17%
88.87M
45.74%
57.68M
-42.37%
47.62M
-57.94%
44.98M
-64.26%
46.49M
-64.42%
39.58M
20.93%
82.63M
35.46%
106.94M
135.79%
130.09M
197.61%
111.25M
152.95%
68.33M
277.37%
78.94M
655.57%
55.17M
--
37.38M
--
27.01M
--
20.92M
--
7.30M
Other current assets
1025.14%
3.79M
-51.41%
2.28M
-84.73%
719.33K
13443.20%
946.41K
358.93%
336.45K
--
4.69M
148317.79%
4.71M
-93.04%
6.99K
-33.25%
73.31K
-100.00%
0.00
-99.99%
3.17K
-99.91%
100.44K
-94.73%
109.83K
-52.36%
1.75M
--
26.62M
--
110.65M
--
2.08M
--
3.68M
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
345.78K
Total current assets
4.48%
561.77M
-15.13%
405.67M
0.62%
501.39M
-6.31%
406.81M
-7.59%
537.66M
-16.92%
477.98M
-17.09%
498.31M
-16.26%
434.22M
9.65%
581.80M
8.30%
575.36M
-3.55%
601.01M
-18.02%
518.55M
-40.11%
530.59M
-45.81%
531.26M
-52.14%
623.13M
100.15%
632.53M
103.36%
885.87M
255.27%
980.41M
403.44%
1.30B
78.51%
316.03M
63.05%
435.61M
414.68%
275.96M
--
258.60M
--
177.04M
--
267.17M
--
53.62M
Non-current assets
Net Fixed Assets
31.37%
188.84M
43.85%
163.09M
60.93%
161.70M
81.88%
165.44M
71.13%
143.75M
22.16%
113.38M
9.57%
100.48M
-3.42%
90.96M
-20.18%
84.00M
-26.95%
92.81M
-43.97%
91.70M
-48.26%
94.19M
-60.35%
105.24M
-50.64%
127.05M
-29.64%
163.65M
-12.50%
182.04M
62.91%
265.43M
102.52%
257.37M
369.18%
232.59M
438.23%
208.03M
366.38%
162.93M
1019.68%
127.09M
--
49.57M
--
38.65M
--
34.93M
--
11.35M
Goodwill and other intangible assets
76.15%
6.47M
-2.64%
3.55M
9.67%
2.52M
--
3.57M
--
3.67M
--
3.64M
-17.21%
2.30M
--
--
--
--
--
--
4202.69%
2.78M
--
--
--
--
--
--
-99.51%
64.58K
--
--
--
4.42M
--
4.50M
21344.33%
13.21M
--
--
--
--
--
--
--
61.62K
--
65.36K
--
67.82K
--
77.27K
Other non-current assets
11.62%
9.27M
37.50%
9.24M
27.14%
10.11M
-10.43%
8.49M
-10.92%
8.31M
-35.18%
6.72M
0.68%
7.95M
24.72%
9.48M
56.02%
9.33M
28.84%
10.36M
-6.90%
7.90M
-35.66%
7.60M
-31.09%
5.98M
-68.87%
8.04M
-45.48%
8.48M
-62.49%
11.81M
-73.63%
8.68M
17.91%
25.84M
117.00%
15.56M
294.09%
31.49M
628.75%
32.90M
425.42%
21.92M
--
7.17M
--
7.99M
--
4.51M
--
4.17M
Total non-current assets
-8.52%
258.77M
21.58%
314.07M
18.78%
301.43M
24.85%
310.28M
159.41%
282.88M
150.38%
258.32M
147.89%
253.78M
144.16%
248.53M
-1.95%
109.04M
-23.63%
103.17M
-40.55%
102.37M
-47.49%
101.79M
-69.00%
111.22M
-63.50%
135.09M
-49.81%
172.19M
-40.21%
193.85M
28.37%
358.81M
18.03%
370.12M
51.34%
343.06M
62.83%
324.21M
594.00%
279.52M
1823.82%
313.58M
--
226.68M
--
199.11M
--
40.28M
--
16.30M
Total assets
-0.00%
820.54M
-2.25%
719.73M
6.75%
802.82M
5.03%
717.09M
18.77%
820.54M
8.51%
736.30M
6.93%
752.09M
10.06%
682.75M
7.64%
690.84M
1.83%
678.53M
-11.56%
703.38M
-24.93%
620.34M
-48.44%
641.80M
-50.66%
666.36M
-51.65%
795.32M
29.07%
826.38M
74.05%
1.24B
129.08%
1.35B
238.97%
1.64B
70.21%
640.24M
132.60%
715.13M
743.18%
589.54M
--
485.29M
--
376.15M
--
307.44M
--
69.92M
Liabilities
Current liabilities
-Other payables
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-100.00%
0.00
-100.00%
0.00
-100.00%
0.00
-99.14%
64.76K
--
9.34M
--
65.93K
--
64.85K
--
7.50M
Accrued expenses
34.99%
209.29M
47.14%
174.52M
53.36%
171.53M
66.32%
147.38M
93.47%
155.04M
39.86%
118.61M
17.09%
111.85M
15.70%
88.61M
2.26%
80.13M
9.23%
84.80M
-12.95%
95.52M
-34.85%
76.59M
-66.56%
78.36M
-64.12%
77.64M
-45.81%
109.73M
3.47%
117.56M
129.60%
234.36M
369.03%
216.39M
764.29%
202.51M
415.29%
113.62M
563.12%
102.07M
385.59%
46.14M
--
23.43M
--
22.05M
--
15.39M
--
9.50M
Deferred liabilities
41.82%
277.08M
44.35%
170.88M
66.25%
257.19M
90.95%
168.47M
78.61%
195.37M
22.79%
118.38M
18.25%
154.70M
4.17%
88.22M
22.24%
109.38M
9.33%
96.41M
-16.26%
130.82M
384.92%
84.69M
-70.64%
89.49M
-70.14%
88.19M
-62.75%
156.22M
-94.15%
17.47M
6.44%
304.79M
57.11%
295.35M
120.27%
419.43M
169.48%
298.53M
311.06%
286.36M
351.66%
187.99M
--
190.42M
--
110.78M
--
69.66M
--
41.62M
Other current liabilities
41.82%
277.08M
44.35%
170.88M
66.25%
257.19M
90.95%
168.47M
78.61%
195.37M
22.79%
118.38M
18.25%
154.70M
4.17%
88.22M
22.24%
109.38M
9.33%
96.41M
-16.26%
130.82M
384.92%
84.69M
-70.64%
89.49M
-70.14%
88.19M
-62.75%
156.22M
-94.15%
17.47M
6.44%
304.79M
57.06%
295.35M
109.97%
419.43M
169.32%
298.53M
310.67%
286.36M
282.84%
188.05M
--
199.76M
--
110.85M
--
69.73M
--
49.12M
Total current liabilities
38.32%
505.59M
48.38%
366.42M
63.83%
449.15M
85.61%
338.47M
87.99%
365.51M
31.37%
246.95M
18.11%
274.15M
10.16%
182.35M
12.09%
194.43M
6.35%
187.98M
-16.69%
232.13M
-52.49%
165.53M
-69.91%
173.46M
-67.50%
176.76M
-56.88%
278.62M
-19.26%
348.38M
42.93%
576.54M
110.40%
543.80M
176.06%
646.15M
198.59%
431.49M
329.36%
403.38M
316.65%
258.46M
--
234.06M
--
144.51M
--
93.95M
--
62.03M
Non-current liabilities
Long-term debt and lease liabilities
17.12%
50.76M
67.75%
45.55M
148.22%
47.47M
347.23%
54.72M
463.36%
43.34M
124.38%
27.15M
199.97%
19.12M
15.20%
12.24M
-53.06%
7.69M
-55.34%
12.10M
-85.41%
6.38M
-80.61%
10.62M
-82.80%
16.39M
-74.18%
27.09M
-55.94%
43.69M
-37.79%
54.78M
48.46%
95.25M
127.32%
104.94M
257.11%
99.16M
319.03%
88.07M
195.00%
64.16M
857.99%
46.16M
--
27.77M
--
21.02M
--
21.75M
--
4.82M
-Long-term lease liabilities
17.12%
50.76M
67.75%
45.55M
148.22%
47.47M
347.23%
54.72M
463.36%
43.34M
124.38%
27.15M
199.97%
19.12M
15.20%
12.24M
-53.06%
7.69M
-55.34%
12.10M
-85.41%
6.38M
-80.61%
10.62M
-82.80%
16.39M
-74.18%
27.09M
-55.94%
43.69M
-37.79%
54.78M
48.46%
95.25M
127.32%
104.94M
257.11%
99.16M
319.03%
88.07M
195.00%
64.16M
857.99%
46.16M
--
27.77M
--
21.02M
--
21.75M
--
4.82M
Deferred liabilities
12.76%
30.11M
46.34%
29.63M
74.75%
30.14M
63.31%
29.68M
54.55%
26.70M
62.74%
20.24M
128.10%
17.25M
283.61%
18.18M
373.32%
17.28M
537.92%
12.44M
417.84%
7.56M
180.43%
4.74M
203.75%
3.65M
36.87%
1.95M
3.95%
1.46M
78.63%
1.69M
160.98%
1.20M
189.40%
1.42M
73.17%
1.40M
21.33%
945.92K
-65.80%
460.40K
-63.26%
492.32K
--
811.16K
--
779.61K
--
1.35M
--
1.34M
Other non-current liabilities
12.76%
30.11M
46.34%
29.63M
74.75%
30.14M
63.31%
29.68M
54.55%
26.70M
62.74%
20.24M
128.10%
17.25M
114.81%
18.18M
131.24%
17.28M
109.25%
12.44M
33.42%
7.56M
43.63%
8.46M
40.52%
7.47M
6.47%
5.95M
3.11%
5.67M
-44.89%
5.89M
-45.81%
5.32M
-82.30%
5.58M
577.60%
5.50M
1271.30%
10.69M
628.89%
9.81M
2254.47%
31.55M
--
811.16K
--
779.61K
--
1.35M
--
1.34M
Total non-current liabilities
13.36%
90.71M
48.23%
84.88M
88.34%
87.34M
132.08%
94.14M
128.29%
80.02M
63.48%
57.26M
87.85%
46.37M
39.79%
40.56M
2.70%
35.05M
-19.87%
35.03M
-59.33%
24.68M
-59.74%
29.02M
-69.49%
34.13M
-64.30%
43.72M
-48.02%
60.69M
-34.45%
72.08M
31.89%
111.86M
39.14%
122.45M
308.55%
116.77M
404.39%
109.96M
267.13%
84.81M
1327.37%
88.01M
--
28.58M
--
21.80M
--
23.10M
--
6.17M
Total liabilities
33.84%
596.30M
48.35%
451.30M
67.38%
536.49M
94.07%
432.60M
94.15%
445.53M
36.41%
304.21M
24.81%
320.53M
14.58%
222.91M
10.54%
229.48M
1.15%
223.01M
-24.31%
256.81M
-53.73%
194.54M
-69.84%
207.59M
-66.91%
220.48M
-55.52%
339.31M
-22.35%
420.46M
41.01%
688.40M
92.30%
666.26M
190.48%
762.92M
225.57%
541.45M
317.08%
488.19M
408.02%
346.47M
--
262.65M
--
166.31M
--
117.05M
--
68.20M
Shareholders' equity
Common equity
-0.83%
1.11B
0.19%
1.10B
-0.81%
1.10B
-1.29%
1.10B
2.55%
1.12B
-1.67%
1.10B
-2.81%
1.11B
0.77%
1.11B
-3.54%
1.09B
-4.77%
1.12B
-7.43%
1.14B
-9.75%
1.11B
-5.24%
1.13B
-0.61%
1.18B
5.50%
1.23B
322.81%
1.23B
339.07%
1.20B
336.43%
1.18B
330.64%
1.17B
7.85%
289.97M
6.87%
272.35M
2629148.88%
271.38M
--
271.51M
--
268.87M
--
254.84M
--
10.32K
Preferred equity
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
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--
--
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--
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--
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--
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--
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70.16M
Retained earnings
-13.17%
-834.79M
-19.75%
-798.48M
-21.08%
-809.76M
-20.44%
-788.46M
-16.14%
-737.68M
-0.80%
-666.79M
3.34%
-668.78M
3.98%
-654.67M
8.06%
-635.17M
7.46%
-661.47M
9.12%
-691.89M
15.36%
-681.78M
-10.15%
-690.86M
-45.84%
-714.82M
-189.84%
-761.29M
-405.36%
-805.49M
-3688.05%
-627.17M
-2540.76%
-490.12M
-556.58%
-262.66M
-148.57%
-159.39M
73.86%
-16.56M
72.97%
-18.56M
--
-40.00M
--
-64.12M
--
-63.34M
--
-68.66M
Capital reserves
-0.83%
1.11B
0.19%
1.10B
-0.81%
1.10B
-1.29%
1.10B
2.55%
1.12B
-1.67%
1.10B
-2.81%
1.11B
0.77%
1.11B
-3.54%
1.09B
-4.77%
1.12B
-7.43%
1.14B
-9.75%
1.11B
-5.24%
1.13B
-0.61%
1.18B
5.50%
1.23B
322.82%
1.23B
339.09%
1.20B
336.45%
1.18B
330.65%
1.17B
7.85%
289.96M
6.87%
272.34M
--
271.37M
--
271.49M
--
268.86M
--
254.83M
--
0.00
Less: Treasury stock
325.73%
58.74M
450.99%
45.66M
182.70%
33.45M
533.01%
29.81M
--
13.80M
--
8.29M
--
11.83M
--
4.71M
--
--
--
--
--
--
--
--
--
--
--
--
-100.00%
0.00
-100.00%
0.00
-100.00%
0.00
-100.00%
0.00
73.27%
21.49M
--
31.52M
--
34.44M
--
10.21M
--
12.40M
--
--
--
--
--
--
Gains losses not affecting retained earnings
-103.36%
-3.16M
51.96%
-1.01M
91.54%
-390.11K
-240.66%
-4.81M
25.21%
-1.55M
78.35%
-2.10M
50.07%
-4.61M
69.07%
-1.41M
85.03%
-2.08M
56.83%
-9.71M
59.21%
-9.24M
78.28%
-4.56M
25.49%
-13.87M
-37.77%
-22.50M
-145.63%
-22.65M
-1482.52%
-21.00M
-507.14%
-18.62M
-2996.30%
-16.33M
-461.80%
-9.22M
-126.09%
-1.33M
513.47%
4.57M
-350.53%
-527.52K
--
2.55M
--
5.09M
--
-1.11M
--
210.56K
Total equity
-40.20%
224.24M
-37.88%
268.43M
-38.29%
266.34M
-38.13%
284.48M
-18.72%
375.01M
-5.14%
432.09M
-3.36%
431.56M
8.00%
459.84M
6.25%
461.36M
2.16%
455.52M
-2.07%
446.57M
4.90%
425.79M
-21.94%
434.21M
-34.84%
445.88M
-48.30%
456.00M
310.88%
405.92M
145.12%
556.28M
181.52%
684.27M
296.18%
882.06M
-52.92%
98.79M
19.20%
226.94M
14047.12%
243.07M
--
222.64M
--
209.84M
--
190.39M
--
1.72M
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
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