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GAN GAN Ltd

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  • 1.860
  • +0.010+0.54%
Trading Jan 21 15:13 ET
84.76MMarket Cap-6.41P/E (TTM)

GAN Ltd Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
66.36%-771K
-57.94%1.19M
93.29%-280K
-185.43%-3.57M
-96.75%75K
-464.97%-2.29M
230.70%2.83M
-106.27%-4.18M
75.03%-1.25M
136.36%2.31M
Net income from continuing operations
125.53%2.08M
90.60%-1.73M
-377.15%-4.16M
82.56%-34.44M
93.65%-9.38M
-17.56%-8.16M
52.00%-18.41M
133.36%1.5M
-545.54%-197.5M
-1,077.25%-147.71M
Operating gains losses
----
----
----
--8.78M
--0
--0
----
----
----
----
Depreciation and amortization
-54.43%1.98M
-54.88%1.92M
-56.21%1.84M
-26.27%17.16M
-31.73%4.38M
-26.39%4.34M
-35.27%4.24M
-4.83%4.2M
38.47%23.28M
55.57%6.41M
Deferred tax
-189.34%-1.28M
-11.58%458K
-75.26%-340K
-117.48%-568K
-116.65%-451K
-155.54%-441K
304.74%518K
---194K
870.14%3.25M
741.94%2.71M
Other non cash items
57.88%1.29M
10.69%1.18M
111.40%1.04M
-193.66%-6.67M
123.45%593K
210.23%819K
--1.07M
---9.15M
-484.26%-2.27M
-1,690.57%-2.53M
Change In working capital
-1,089.36%-5.92M
-128.82%-1.42M
125.67%487K
723.76%6.77M
-13.23%4.23M
63.78%-498K
445.73%4.94M
39.97%-1.9M
64.08%-1.09M
238.24%4.88M
-Change in receivables
-465.35%-3.25M
-86.25%517K
201.40%431K
144.14%2.62M
-191.54%-2.17M
142.76%889K
212.31%3.76M
-39.66%143K
-294.81%-5.93M
26.96%-745K
-Change in prepaid assets
83.77%1.04M
-91.70%116K
-26.98%-513K
220.68%1.59M
135.11%33K
387.82%567K
489.14%1.4M
39.70%-404K
-63.77%-1.32M
91.28%-94K
-Change in payables and accrued expense
1.09%370K
44.01%-332K
48.37%-730K
-105.93%-82K
16.17%1.56M
171.07%366K
-1,594.29%-593K
-339.26%-1.41M
543.27%1.38M
145.29%1.34M
-Change in other current assets
115.27%519K
16.13%-1.77M
11,985.71%846K
-91.51%268K
565.09%5.77M
-461.65%-3.4M
-172.37%-2.11M
124.14%7K
132.14%3.16M
194.35%868K
-Change in other current liabilities
-292.99%-4.65M
-73.79%76K
498.65%885K
5.33%3.52M
-0.19%1.04M
-18.14%2.41M
219.83%290K
45.05%-222K
-40.74%3.34M
-49.04%1.04M
-Change in other working capital
103.38%45K
-101.23%-27K
-6,071.43%-432K
33.26%-1.14M
-181.06%-2M
-44.31%-1.33M
700.55%2.2M
99.76%-7K
-145.16%-1.71M
498.54%2.47M
Cash from discontinued investing activities
Operating cash flow
66.36%-771K
-57.94%1.19M
93.29%-280K
-185.43%-3.57M
-96.75%75K
-464.97%-2.29M
230.70%2.83M
-106.27%-4.18M
75.03%-1.25M
136.36%2.31M
Investing cash flow
Cash flow from continuing investing activities
25.69%-894K
65.25%-628K
58.74%-727K
64.32%-6.82M
-28.57%-2.04M
75.96%-1.2M
78.80%-1.81M
55.82%-1.76M
82.09%-19.1M
60.71%-1.59M
Capital expenditure reported
10.31%-687K
26.55%-473K
65.75%-460K
67.10%-3.31M
31.86%-556K
73.95%-766K
76.66%-644K
62.09%-1.34M
13.20%-10.06M
73.72%-816K
Net PPE purchase and sale
56.36%-144K
84.85%-155K
79.92%-51K
-60.36%-3.1M
-445.05%-1.49M
65.80%-330K
-288.97%-1.02M
40.79%-254K
-0.05%-1.93M
39.47%-273K
Net intangibles purchase and sale
41.12%-63K
--0
-30.91%-216K
94.22%-411K
100.20%1K
90.26%-107K
97.45%-140K
-931.25%-165K
-1,543.19%-7.12M
-129.36%-500K
Cash from discontinued investing activities
Investing cash flow
25.69%-894K
65.25%-628K
58.74%-727K
64.32%-6.82M
-28.57%-2.04M
75.96%-1.2M
78.80%-1.81M
55.82%-1.76M
82.09%-19.1M
60.71%-1.59M
Financing cash flow
Cash flow from continuing financing activities
0
0
106.38%3K
-95.09%1.35M
1,040.00%94K
-98.78%6K
-95.20%1.29M
-47K
16,141.42%27.45M
-135.71%-10K
Net issuance payments of debt
--0
--0
--0
-84.22%4.73M
--0
--0
--4.67M
--65K
36,685.37%30M
--0
Net common stock issuance
----
----
----
--0
----
----
----
----
---1.01M
--0
Proceeds from stock option exercised by employees
--0
----
----
-74.79%268K
16.09%202K
--0
----
----
24.33%1.06M
544.44%174K
Net other financing activities
--0
--0
102.68%3K
-40.05%-3.65M
41.30%-108K
--6K
---3.44M
---112K
-331.95%-2.61M
---184K
Cash from discontinued financing activities
Financing cash flow
--0
--0
106.38%3K
-95.09%1.35M
1,040.00%94K
-98.78%6K
-95.20%1.29M
---47K
16,141.42%27.45M
-135.71%-10K
Net cash flow
Beginning cash position
-15.04%36.86M
-10.21%36.59M
-15.99%38.58M
16.32%45.92M
-6.16%39.21M
-11.59%43.39M
21.36%40.76M
16.32%45.92M
-74.14%39.48M
-16.93%41.79M
Current changes in cash
52.28%-1.67M
-75.76%561K
83.22%-1M
-227.30%-9.03M
-363.57%-1.87M
10.15%-3.49M
-85.79%2.31M
0.47%-5.98M
106.36%7.1M
106.86%711K
Effect of exchange rate changes
287.03%1.28M
-191.82%-292K
-219.90%-982K
358.96%1.69M
-63.75%1.24M
79.85%-686K
140.36%318K
594.07%819K
60.87%-653K
845.32%3.42M
End cash Position
-6.97%36.48M
-15.04%36.86M
-10.21%36.59M
-15.99%38.58M
-15.99%38.58M
-6.16%39.21M
-11.59%43.39M
21.36%40.76M
16.32%45.92M
16.32%45.92M
Free cash flow
52.36%-1.67M
-45.00%561K
83.04%-1.01M
49.00%-10.38M
-372.95%-1.97M
20.13%-3.5M
109.55%1.02M
1.25%-5.94M
-7.38%-20.35M
107.12%721K
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 66.36%-771K-57.94%1.19M93.29%-280K-185.43%-3.57M-96.75%75K-464.97%-2.29M230.70%2.83M-106.27%-4.18M75.03%-1.25M136.36%2.31M
Net income from continuing operations 125.53%2.08M90.60%-1.73M-377.15%-4.16M82.56%-34.44M93.65%-9.38M-17.56%-8.16M52.00%-18.41M133.36%1.5M-545.54%-197.5M-1,077.25%-147.71M
Operating gains losses --------------8.78M--0--0----------------
Depreciation and amortization -54.43%1.98M-54.88%1.92M-56.21%1.84M-26.27%17.16M-31.73%4.38M-26.39%4.34M-35.27%4.24M-4.83%4.2M38.47%23.28M55.57%6.41M
Deferred tax -189.34%-1.28M-11.58%458K-75.26%-340K-117.48%-568K-116.65%-451K-155.54%-441K304.74%518K---194K870.14%3.25M741.94%2.71M
Other non cash items 57.88%1.29M10.69%1.18M111.40%1.04M-193.66%-6.67M123.45%593K210.23%819K--1.07M---9.15M-484.26%-2.27M-1,690.57%-2.53M
Change In working capital -1,089.36%-5.92M-128.82%-1.42M125.67%487K723.76%6.77M-13.23%4.23M63.78%-498K445.73%4.94M39.97%-1.9M64.08%-1.09M238.24%4.88M
-Change in receivables -465.35%-3.25M-86.25%517K201.40%431K144.14%2.62M-191.54%-2.17M142.76%889K212.31%3.76M-39.66%143K-294.81%-5.93M26.96%-745K
-Change in prepaid assets 83.77%1.04M-91.70%116K-26.98%-513K220.68%1.59M135.11%33K387.82%567K489.14%1.4M39.70%-404K-63.77%-1.32M91.28%-94K
-Change in payables and accrued expense 1.09%370K44.01%-332K48.37%-730K-105.93%-82K16.17%1.56M171.07%366K-1,594.29%-593K-339.26%-1.41M543.27%1.38M145.29%1.34M
-Change in other current assets 115.27%519K16.13%-1.77M11,985.71%846K-91.51%268K565.09%5.77M-461.65%-3.4M-172.37%-2.11M124.14%7K132.14%3.16M194.35%868K
-Change in other current liabilities -292.99%-4.65M-73.79%76K498.65%885K5.33%3.52M-0.19%1.04M-18.14%2.41M219.83%290K45.05%-222K-40.74%3.34M-49.04%1.04M
-Change in other working capital 103.38%45K-101.23%-27K-6,071.43%-432K33.26%-1.14M-181.06%-2M-44.31%-1.33M700.55%2.2M99.76%-7K-145.16%-1.71M498.54%2.47M
Cash from discontinued investing activities
Operating cash flow 66.36%-771K-57.94%1.19M93.29%-280K-185.43%-3.57M-96.75%75K-464.97%-2.29M230.70%2.83M-106.27%-4.18M75.03%-1.25M136.36%2.31M
Investing cash flow
Cash flow from continuing investing activities 25.69%-894K65.25%-628K58.74%-727K64.32%-6.82M-28.57%-2.04M75.96%-1.2M78.80%-1.81M55.82%-1.76M82.09%-19.1M60.71%-1.59M
Capital expenditure reported 10.31%-687K26.55%-473K65.75%-460K67.10%-3.31M31.86%-556K73.95%-766K76.66%-644K62.09%-1.34M13.20%-10.06M73.72%-816K
Net PPE purchase and sale 56.36%-144K84.85%-155K79.92%-51K-60.36%-3.1M-445.05%-1.49M65.80%-330K-288.97%-1.02M40.79%-254K-0.05%-1.93M39.47%-273K
Net intangibles purchase and sale 41.12%-63K--0-30.91%-216K94.22%-411K100.20%1K90.26%-107K97.45%-140K-931.25%-165K-1,543.19%-7.12M-129.36%-500K
Cash from discontinued investing activities
Investing cash flow 25.69%-894K65.25%-628K58.74%-727K64.32%-6.82M-28.57%-2.04M75.96%-1.2M78.80%-1.81M55.82%-1.76M82.09%-19.1M60.71%-1.59M
Financing cash flow
Cash flow from continuing financing activities 00106.38%3K-95.09%1.35M1,040.00%94K-98.78%6K-95.20%1.29M-47K16,141.42%27.45M-135.71%-10K
Net issuance payments of debt --0--0--0-84.22%4.73M--0--0--4.67M--65K36,685.37%30M--0
Net common stock issuance --------------0-------------------1.01M--0
Proceeds from stock option exercised by employees --0---------74.79%268K16.09%202K--0--------24.33%1.06M544.44%174K
Net other financing activities --0--0102.68%3K-40.05%-3.65M41.30%-108K--6K---3.44M---112K-331.95%-2.61M---184K
Cash from discontinued financing activities
Financing cash flow --0--0106.38%3K-95.09%1.35M1,040.00%94K-98.78%6K-95.20%1.29M---47K16,141.42%27.45M-135.71%-10K
Net cash flow
Beginning cash position -15.04%36.86M-10.21%36.59M-15.99%38.58M16.32%45.92M-6.16%39.21M-11.59%43.39M21.36%40.76M16.32%45.92M-74.14%39.48M-16.93%41.79M
Current changes in cash 52.28%-1.67M-75.76%561K83.22%-1M-227.30%-9.03M-363.57%-1.87M10.15%-3.49M-85.79%2.31M0.47%-5.98M106.36%7.1M106.86%711K
Effect of exchange rate changes 287.03%1.28M-191.82%-292K-219.90%-982K358.96%1.69M-63.75%1.24M79.85%-686K140.36%318K594.07%819K60.87%-653K845.32%3.42M
End cash Position -6.97%36.48M-15.04%36.86M-10.21%36.59M-15.99%38.58M-15.99%38.58M-6.16%39.21M-11.59%43.39M21.36%40.76M16.32%45.92M16.32%45.92M
Free cash flow 52.36%-1.67M-45.00%561K83.04%-1.01M49.00%-10.38M-372.95%-1.97M20.13%-3.5M109.55%1.02M1.25%-5.94M-7.38%-20.35M107.12%721K
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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