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GMGI Golden Matrix Group

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  • 2.357
  • +0.137+6.18%
Trading Nov 26 12:21 ET
303.86MMarket Cap-14733P/E (TTM)

Golden Matrix Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Jan 31, 2024
(FY)Oct 31, 2023
(Q4)Oct 31, 2023
(Q3)Jul 31, 2023
(Q2)Apr 30, 2023
(Q1)Jan 31, 2023
(FY)Oct 31, 2022
(Q4)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
137.92%38.4M
108.39%32.83M
12.12%17.29M
14.39%17.1M
14.39%17.1M
1.72%16.14M
-0.36%15.75M
1.19%15.42M
-11.00%14.95M
27.71%14.95M
-Cash and cash equivalents
137.92%38.4M
108.39%32.83M
12.12%17.29M
14.39%17.1M
14.39%17.1M
1.72%16.14M
-0.36%15.75M
1.19%15.42M
-11.00%14.95M
27.71%14.95M
Receivables
122.76%9.46M
114.66%8.41M
12.56%4.33M
27.10%3.88M
27.10%3.88M
64.05%4.25M
36.43%3.92M
71.42%3.85M
-0.48%3.05M
79.99%3.05M
-Accounts receivable
100.04%8.5M
100.83%7.22M
15.52%4.03M
34.47%3.55M
34.47%3.55M
120.12%4.25M
25.21%3.6M
104.15%3.49M
49.83%2.64M
153.84%2.64M
-Taxes receivable
--301.35K
--428.59K
----
----
----
----
----
----
----
----
-Related party accounts receivable
--663.64K
136.08%761.23K
-16.57%296.47K
-19.93%331.25K
-19.93%331.25K
----
--322.44K
-33.40%355.36K
-68.34%413.71K
-37.01%413.71K
Inventory
190.07%4.41M
79.34%3.34M
47.36%2.38M
49.40%1.71M
49.40%1.71M
27.77%1.52M
102.73%1.86M
89.38%1.61M
--1.15M
--1.15M
Prepaid assets
1,023.05%1.37M
724.16%1.51M
-47.94%142.99K
22.40%103.27K
22.40%103.27K
-39.64%122.39K
-31.72%183.77K
150.18%274.69K
-26.27%84.37K
-79.47%84.37K
Restricted cash
----
----
-6.58%53.84K
-1.15%51.97K
-1.15%51.97K
-4.64%54.72K
-7.53%54.13K
0.37%57.63K
-14.92%52.58K
--52.58K
Other current assets
--3.01M
--2.46M
----
----
----
----
----
----
----
----
Total current assets
156.55%56.67M
123.00%48.56M
14.05%24.19M
18.48%22.85M
18.48%22.85M
10.94%22.09M
9.25%21.77M
14.65%21.21M
-3.76%19.29M
39.63%19.29M
Non current assets
Net PPE
22,895.36%33.22M
17,853.53%31.81M
71.90%375.84K
-53.78%103.09K
-53.78%103.09K
-46.64%144.45K
-33.57%177.18K
-18.24%218.64K
-20.39%223.06K
--223.06K
-Gross PPE
22,895.36%33.22M
17,853.53%31.81M
71.90%375.84K
-30.80%176.76K
-30.80%176.76K
-46.64%144.45K
-33.57%177.18K
-18.24%218.64K
-8.83%255.44K
--255.44K
-Accumulated depreciation
----
----
----
-127.54%-73.67K
-127.54%-73.67K
----
----
----
---32.38K
---32.38K
Goodwill and other intangible assets
317.20%53.22M
718.43%105.18M
-3.27%12.53M
-3.31%12.63M
-3.31%12.63M
-3.39%12.76M
-3.40%12.85M
-3.09%12.95M
9,554.82%13.06M
--13.06M
-Goodwill
----
460.50%58.19M
0.00%10.38M
-0.68%10.38M
-0.68%10.38M
-3.15%10.38M
-3.15%10.38M
-3.15%10.38M
--10.45M
--10.45M
-Other intangible assets
2,140.82%53.22M
1,802.91%46.99M
-16.48%2.15M
-13.88%2.25M
-13.88%2.25M
-4.46%2.38M
-4.47%2.47M
-2.87%2.57M
1,827.41%2.61M
--2.61M
Investments and advances
--240.15K
--230.4K
----
----
----
----
----
----
----
----
Related parties assets
--663.64K
136.08%761.23K
-16.57%296.47K
-19.93%331.25K
-19.93%331.25K
----
--322.44K
-33.40%355.36K
-68.34%413.71K
-37.01%413.71K
Non current prepaid assets
--6M
--5.75M
----
----
----
----
----
----
----
----
Other non current assets
--64.15M
--17.13K
----
----
----
----
----
----
----
----
Total non current assets
1,115.56%156.82M
997.49%142.98M
-2.02%12.9M
-4.16%12.73M
-4.16%12.73M
-4.26%12.9M
-3.99%13.03M
-3.39%13.17M
3,097.16%13.28M
--13.28M
Total assets
510.15%213.49M
450.36%191.54M
7.89%37.1M
9.25%35.58M
9.25%35.58M
4.81%34.99M
3.88%34.8M
7.00%34.38M
59.20%32.57M
135.78%32.57M
Liabilities
Current liabilities
Payables
1,641.91%45.92M
1,499.90%41.88M
33.19%3.53M
90.63%3.34M
90.63%3.34M
34.00%2.64M
-7.18%2.62M
38.93%2.65M
48.37%1.75M
334.55%1.75M
-accounts payable
406.89%12.25M
358.65%9.36M
36.58%2.87M
105.60%2.85M
105.60%2.85M
48.97%2.42M
1.16%2.04M
73.74%2.1M
28.87%1.39M
1,655.19%1.39M
-Total tax payable
1,499.68%3.31M
465.94%3.2M
34.15%664.44K
47.00%476.49K
47.00%476.49K
-15.17%206.98K
-21.16%564.94K
-16.35%495.31K
--324.15K
--324.15K
-Due to related parties current
82.70%21.56K
96.74%22.23K
-87.47%3.63K
-68.75%12.92K
-68.75%12.92K
-88.27%11.8K
-86.84%11.3K
-73.66%28.94K
-60.65%41.35K
-87.24%41.35K
-Other payable
--30.33M
--29.3M
----
----
----
----
----
--30.71K
----
----
Current accrued expenses
----
----
0.00%123
0.00%123
0.00%123
0.00%123
0.00%123
0.00%123
0.00%123
0.00%123
Current debt and capital lease obligation
21,350.69%18.92M
7,374.60%7.72M
-24.25%81.09K
-37.86%59.09K
-37.86%59.09K
-12.68%88.2K
2.97%103.25K
-83.74%107.05K
-5.11%95.09K
--95.09K
-Current debt
--17.49M
----
----
----
----
----
----
----
----
----
-Current capital lease obligation
1,519.07%1.43M
1,533.62%1.69M
-24.25%81.09K
-37.86%59.09K
-37.86%59.09K
-12.68%88.2K
2.97%103.25K
11.85%107.05K
-5.11%95.09K
--95.09K
Current deferred liabilities
73.01%1.25M
----
-2.46%441.55K
60.56%475.55K
60.56%475.55K
127.27%723.23K
85.02%588.49K
-5.33%452.7K
331.53%296.18K
97.93%296.18K
Other current liabilities
414.77%3.3M
172.53%1.71M
3.38%636.65K
6.00%607.61K
6.00%607.61K
-47.31%641.77K
-50.03%628.22K
-54.93%615.84K
--573.2K
--573.2K
Current liabilities
1,596.88%69.39M
1,203.04%51.31M
22.57%4.69M
64.98%4.48M
64.98%4.48M
13.45%4.09M
-12.42%3.94M
-13.23%3.83M
101.30%2.72M
391.33%2.72M
Non current liabilities
Long term debt and capital lease obligation
--20.5M
276,502.82%24.7M
581.31%257.08K
----
----
----
-92.64%8.93K
-73.84%37.73K
-67.16%59.78K
--59.78K
-Long term debt
--17.77M
--22.42M
----
----
----
----
----
----
----
----
-Long term capital lease obligation
--2.72M
25,436.48%2.28M
581.31%257.08K
--0
--0
--0
-92.64%8.93K
-73.84%37.73K
-67.16%59.78K
--59.78K
Employee benefits
--15.44K
----
----
----
----
----
----
----
----
----
Other non current liabilities
----
--132.37K
----
----
----
----
----
----
----
----
Total non current liabilities
--45.51M
557,940.37%49.83M
581.31%257.08K
--0
--0
--0
-92.64%8.93K
-73.84%37.73K
-67.16%59.78K
--59.78K
Total liabilities
2,709.84%114.9M
2,462.68%101.15M
28.03%4.95M
61.42%4.48M
61.42%4.48M
10.61%4.09M
-14.52%3.95M
-15.15%3.87M
81.27%2.77M
402.15%2.77M
Shareholders'equity
Share capital
239.89%1.23K
234.63%1.21K
1.39%366
28.37%362
28.37%362
28.01%361
28.47%361
28.93%361
3.68%282
24.23%282
-common stock
239.89%1.23K
234.63%1.21K
1.39%366
28.37%362
28.37%362
28.01%361
28.47%361
28.93%361
3.68%282
24.23%282
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
322.32%59.18M
343.97%62.58M
-2.61%-25.77M
-4.75%-25.85M
-4.75%-25.85M
-16.44%-26.62M
-9.21%-25.65M
-4.33%-25.12M
-1.02%-24.67M
1.59%-24.67M
Paid-in capital
-33.04%38.43M
-42.99%32.21M
3.78%57.79M
10.35%57.02M
10.35%57.02M
15.43%57.4M
14.04%56.5M
14.05%55.69M
19.20%51.68M
34.86%51.68M
Less: Treasury stock
--1.67K
----
----
----
----
----
--32.32K
----
----
----
Gains losses not affecting retained earnings
-3,045.25%-3.6M
-12,732.18%-5.41M
333.20%124.73K
64.44%-73.16K
64.44%-73.16K
212.22%122.07K
178.06%42.86K
-196.66%-53.49K
-11,862.03%-205.75K
-20,937.53%-205.75K
Other equity interest
--240.66K
--150.17K
----
----
----
----
----
---2.61K
----
----
Total stockholders'equity
205.02%94.25M
190.16%89.53M
5.34%32.15M
16.07%31.1M
16.07%31.1M
15.50%30.9M
18.68%30.86M
23.01%30.52M
41.57%26.8M
102.06%26.8M
Noncontrolling interests
--4.33M
--860.71K
----
--0
--0
--0
--0
--0
--3M
--3M
Total equity
219.05%98.59M
192.95%90.39M
5.34%32.15M
4.39%31.1M
4.39%31.1M
4.08%30.9M
6.83%30.86M
10.66%30.52M
57.42%29.8M
124.68%29.8M
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 with Explanatory Notes
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Jan 31, 2024(FY)Oct 31, 2023(Q4)Oct 31, 2023(Q3)Jul 31, 2023(Q2)Apr 30, 2023(Q1)Jan 31, 2023(FY)Oct 31, 2022(Q4)Oct 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 137.92%38.4M108.39%32.83M12.12%17.29M14.39%17.1M14.39%17.1M1.72%16.14M-0.36%15.75M1.19%15.42M-11.00%14.95M27.71%14.95M
-Cash and cash equivalents 137.92%38.4M108.39%32.83M12.12%17.29M14.39%17.1M14.39%17.1M1.72%16.14M-0.36%15.75M1.19%15.42M-11.00%14.95M27.71%14.95M
Receivables 122.76%9.46M114.66%8.41M12.56%4.33M27.10%3.88M27.10%3.88M64.05%4.25M36.43%3.92M71.42%3.85M-0.48%3.05M79.99%3.05M
-Accounts receivable 100.04%8.5M100.83%7.22M15.52%4.03M34.47%3.55M34.47%3.55M120.12%4.25M25.21%3.6M104.15%3.49M49.83%2.64M153.84%2.64M
-Taxes receivable --301.35K--428.59K--------------------------------
-Related party accounts receivable --663.64K136.08%761.23K-16.57%296.47K-19.93%331.25K-19.93%331.25K------322.44K-33.40%355.36K-68.34%413.71K-37.01%413.71K
Inventory 190.07%4.41M79.34%3.34M47.36%2.38M49.40%1.71M49.40%1.71M27.77%1.52M102.73%1.86M89.38%1.61M--1.15M--1.15M
Prepaid assets 1,023.05%1.37M724.16%1.51M-47.94%142.99K22.40%103.27K22.40%103.27K-39.64%122.39K-31.72%183.77K150.18%274.69K-26.27%84.37K-79.47%84.37K
Restricted cash ---------6.58%53.84K-1.15%51.97K-1.15%51.97K-4.64%54.72K-7.53%54.13K0.37%57.63K-14.92%52.58K--52.58K
Other current assets --3.01M--2.46M--------------------------------
Total current assets 156.55%56.67M123.00%48.56M14.05%24.19M18.48%22.85M18.48%22.85M10.94%22.09M9.25%21.77M14.65%21.21M-3.76%19.29M39.63%19.29M
Non current assets
Net PPE 22,895.36%33.22M17,853.53%31.81M71.90%375.84K-53.78%103.09K-53.78%103.09K-46.64%144.45K-33.57%177.18K-18.24%218.64K-20.39%223.06K--223.06K
-Gross PPE 22,895.36%33.22M17,853.53%31.81M71.90%375.84K-30.80%176.76K-30.80%176.76K-46.64%144.45K-33.57%177.18K-18.24%218.64K-8.83%255.44K--255.44K
-Accumulated depreciation -------------127.54%-73.67K-127.54%-73.67K---------------32.38K---32.38K
Goodwill and other intangible assets 317.20%53.22M718.43%105.18M-3.27%12.53M-3.31%12.63M-3.31%12.63M-3.39%12.76M-3.40%12.85M-3.09%12.95M9,554.82%13.06M--13.06M
-Goodwill ----460.50%58.19M0.00%10.38M-0.68%10.38M-0.68%10.38M-3.15%10.38M-3.15%10.38M-3.15%10.38M--10.45M--10.45M
-Other intangible assets 2,140.82%53.22M1,802.91%46.99M-16.48%2.15M-13.88%2.25M-13.88%2.25M-4.46%2.38M-4.47%2.47M-2.87%2.57M1,827.41%2.61M--2.61M
Investments and advances --240.15K--230.4K--------------------------------
Related parties assets --663.64K136.08%761.23K-16.57%296.47K-19.93%331.25K-19.93%331.25K------322.44K-33.40%355.36K-68.34%413.71K-37.01%413.71K
Non current prepaid assets --6M--5.75M--------------------------------
Other non current assets --64.15M--17.13K--------------------------------
Total non current assets 1,115.56%156.82M997.49%142.98M-2.02%12.9M-4.16%12.73M-4.16%12.73M-4.26%12.9M-3.99%13.03M-3.39%13.17M3,097.16%13.28M--13.28M
Total assets 510.15%213.49M450.36%191.54M7.89%37.1M9.25%35.58M9.25%35.58M4.81%34.99M3.88%34.8M7.00%34.38M59.20%32.57M135.78%32.57M
Liabilities
Current liabilities
Payables 1,641.91%45.92M1,499.90%41.88M33.19%3.53M90.63%3.34M90.63%3.34M34.00%2.64M-7.18%2.62M38.93%2.65M48.37%1.75M334.55%1.75M
-accounts payable 406.89%12.25M358.65%9.36M36.58%2.87M105.60%2.85M105.60%2.85M48.97%2.42M1.16%2.04M73.74%2.1M28.87%1.39M1,655.19%1.39M
-Total tax payable 1,499.68%3.31M465.94%3.2M34.15%664.44K47.00%476.49K47.00%476.49K-15.17%206.98K-21.16%564.94K-16.35%495.31K--324.15K--324.15K
-Due to related parties current 82.70%21.56K96.74%22.23K-87.47%3.63K-68.75%12.92K-68.75%12.92K-88.27%11.8K-86.84%11.3K-73.66%28.94K-60.65%41.35K-87.24%41.35K
-Other payable --30.33M--29.3M----------------------30.71K--------
Current accrued expenses --------0.00%1230.00%1230.00%1230.00%1230.00%1230.00%1230.00%1230.00%123
Current debt and capital lease obligation 21,350.69%18.92M7,374.60%7.72M-24.25%81.09K-37.86%59.09K-37.86%59.09K-12.68%88.2K2.97%103.25K-83.74%107.05K-5.11%95.09K--95.09K
-Current debt --17.49M------------------------------------
-Current capital lease obligation 1,519.07%1.43M1,533.62%1.69M-24.25%81.09K-37.86%59.09K-37.86%59.09K-12.68%88.2K2.97%103.25K11.85%107.05K-5.11%95.09K--95.09K
Current deferred liabilities 73.01%1.25M-----2.46%441.55K60.56%475.55K60.56%475.55K127.27%723.23K85.02%588.49K-5.33%452.7K331.53%296.18K97.93%296.18K
Other current liabilities 414.77%3.3M172.53%1.71M3.38%636.65K6.00%607.61K6.00%607.61K-47.31%641.77K-50.03%628.22K-54.93%615.84K--573.2K--573.2K
Current liabilities 1,596.88%69.39M1,203.04%51.31M22.57%4.69M64.98%4.48M64.98%4.48M13.45%4.09M-12.42%3.94M-13.23%3.83M101.30%2.72M391.33%2.72M
Non current liabilities
Long term debt and capital lease obligation --20.5M276,502.82%24.7M581.31%257.08K-------------92.64%8.93K-73.84%37.73K-67.16%59.78K--59.78K
-Long term debt --17.77M--22.42M--------------------------------
-Long term capital lease obligation --2.72M25,436.48%2.28M581.31%257.08K--0--0--0-92.64%8.93K-73.84%37.73K-67.16%59.78K--59.78K
Employee benefits --15.44K------------------------------------
Other non current liabilities ------132.37K--------------------------------
Total non current liabilities --45.51M557,940.37%49.83M581.31%257.08K--0--0--0-92.64%8.93K-73.84%37.73K-67.16%59.78K--59.78K
Total liabilities 2,709.84%114.9M2,462.68%101.15M28.03%4.95M61.42%4.48M61.42%4.48M10.61%4.09M-14.52%3.95M-15.15%3.87M81.27%2.77M402.15%2.77M
Shareholders'equity
Share capital 239.89%1.23K234.63%1.21K1.39%36628.37%36228.37%36228.01%36128.47%36128.93%3613.68%28224.23%282
-common stock 239.89%1.23K234.63%1.21K1.39%36628.37%36228.37%36228.01%36128.47%36128.93%3613.68%28224.23%282
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 322.32%59.18M343.97%62.58M-2.61%-25.77M-4.75%-25.85M-4.75%-25.85M-16.44%-26.62M-9.21%-25.65M-4.33%-25.12M-1.02%-24.67M1.59%-24.67M
Paid-in capital -33.04%38.43M-42.99%32.21M3.78%57.79M10.35%57.02M10.35%57.02M15.43%57.4M14.04%56.5M14.05%55.69M19.20%51.68M34.86%51.68M
Less: Treasury stock --1.67K----------------------32.32K------------
Gains losses not affecting retained earnings -3,045.25%-3.6M-12,732.18%-5.41M333.20%124.73K64.44%-73.16K64.44%-73.16K212.22%122.07K178.06%42.86K-196.66%-53.49K-11,862.03%-205.75K-20,937.53%-205.75K
Other equity interest --240.66K--150.17K-----------------------2.61K--------
Total stockholders'equity 205.02%94.25M190.16%89.53M5.34%32.15M16.07%31.1M16.07%31.1M15.50%30.9M18.68%30.86M23.01%30.52M41.57%26.8M102.06%26.8M
Noncontrolling interests --4.33M--860.71K------0--0--0--0--0--3M--3M
Total equity 219.05%98.59M192.95%90.39M5.34%32.15M4.39%31.1M4.39%31.1M4.08%30.9M6.83%30.86M10.66%30.52M57.42%29.8M124.68%29.8M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion with Explanatory Notes--

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