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GMGIGolden Matrix Group, Inc.
$7.46$89M
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
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HomeStocksGMGIQuarterly Balance Sheet

Golden Matrix Group, Inc. (GMGI) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Golden Matrix Group, Inc. (GMGI) quarterly balance sheet — complete assets, liabilities & equity history

GMGI Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Total Current Assets30.48M35.44M39.15M38.97M45.93M45.07M56.67M48.56M024.19M22.85M22.09M21.77M21.21M19.29M19.91M19.93M18.5M18.56M16.79M
Cash & Short-Term Investments16.23M18.08M22.4M22.48M29.66M30.46M38.4M32.83M20.42M17.29M17.1M16.14M15.75M15.42M14.95M15.87M15.81M15.24M16.8M13.88M
Cash Only16.23M18.08M22.04M22.14M29.66M30.13M38.4M32.83M017.29M17.1M16.14M15.75M15.42M14.95M15.87M15.81M15.24M16.8M13.88M
Short-Term Investments00354.07K344.94K0330.3K00000000000000
Accounts Receivable5.5M7.95M10.1M10.53M8.06M9.72M9.46M8.41M04.33M3.88M4.25M3.92M3.85M3.05M2.59M2.87M2.24M1.76M2.79M
Days Sales Outstanding12.0816.7520.0619.5618.7219.2420.0619.43-31.8931.7533.2333.5229.4527.1227.6126.8420.7631.9684.68
Inventory4.86M5.52M5.68M4.76M4.88M3.94M4.41M3.34M02.38M1.71M1.52M1.86M1.61M1.15M1.19M918.7K851.71K-1.48M0
Days Inventory Outstanding21.2924.4522.9523.2521.4220.1519.1917.14-22.2217.4116.9718.7515.2414.4314.6613.2645.36--
Other Current Assets3.89M3.88M002.29M03.01M2.46M-20.42M53.84K51.97K501.44M237.9K332.32K136.95K260.16K327.67K167.21K1.48M121.29K
Total Non-Current Assets81.38M82.64M170.63M171.31M168.03M168.65M156.82M142.98M012.9M12.73M12.9M13.03M13.17M13.28M13.48M13.57M13.63M415.45K447.63K
Property, Plant & Equipment33.45M35.26M35.32M35.84M34.73M35.07M33.22M31.81M0375.84K103.09K144.45K177.18K218.64K223.06K270.7K266.71K267.43K280.18K297.76K
Fixed Asset Turnover1.46x1.40x1.33x1.23x1.22x1.34x1.26x1.24x-49.46x95.18x70.31x52.09x48.80x38.78x33.87x31.76x32.42x22.68x10.92x
Goodwill0071.31M71.26M71.04M71.25M64.13M58.19M010.38M10.38M10.38M10.38M10.38M10.45M10.72M10.72M10.72M00
Intangible Assets0057.55M57.76M56.47M56.39M53.22M46.99M02.15M2.25M2.38M2.47M2.57M2.61M2.49M2.58M2.64M135.26K149.87K
Long-Term Investments3.57M3.65M286.26K244.47K225.52K218.15K240.15K230.4K000000000000
Other Non-Current Assets9.29M8.81M6.17M6.2M5.57M5.72M6.01M5.77M000000000000
Total Assets111.87M118.08M209.78M210.27M213.95M213.72M213.49M191.54M037.1M35.58M34.99M34.8M34.38M32.57M33.39M33.5M32.13M20.46M17.24M
Asset Turnover0.44x0.30x0.23x0.20x0.20x0.21x0.20x0.21x-0.33x0.33x0.32x0.30x0.32x0.29x0.27x0.26x0.34x0.35x0.20x
Asset Growth %-47.71%-44.75%-1.74%9.78%-476.1%499.99%447.41%-100%7.89%9.25%4.81%3.88%7%59.2%93.65%120.95%132.62%200.34%261.03%
Total Current Liabilities53.26M59.57M64.41M63.57M62M63.55M69.39M51.31M04.69M4.48M4.09M3.94M3.83M2.72M3.6M4.5M4.41M1.35M1.43M
Accounts Payable438.46K295.17K18.58M16.49M17.18M12.91M12.25M9.36M02.87M2.85M2.42M2.04M2.1M1.39M1.62M2.02M1.21M105.06K1.12M
Days Payables Outstanding1.541.277.181.2173.160.7253.4948.06-31.0328.3222.3622.3319.2318.5625.324.168.8112.4845.87
Short-Term Debt10.73M13.24M13.48M11.18M15.13M17.38M17.49M29.3M00088.2K103.25K107.05K95.08K101.01K100.27K658.36K200.42K86.65K
Deferred Revenue (Current)1.08M1.11M1.33M1.48M1.45M1.33M1.25M-23.21M0421.8K108.11K703.28K569K447.99K291.77K313.56K313.26K473.07K68.64K15.8K
Other Current Liabilities41.01M45.22M29.88M687.66K647.82K628.68K3.3M8.35M0656.4K956.35K-1.54M-817.56K-922.66K-441.86K-55.36K46.4K866.01K869.64K-915.87K
Current Ratio0.57x0.59x0.61x0.61x0.74x0.71x0.82x0.95x-5.16x5.10x5.40x5.53x5.54x7.10x5.52x4.43x4.19x13.76x11.71x
Quick Ratio0.48x0.50x0.52x0.54x0.66x0.65x0.75x0.88x-4.65x4.72x5.03x5.06x5.12x6.68x5.19x4.23x4.00x14.86x11.71x
Cash Conversion Cycle31.870.01-34.08-38.4-32.96-21.33-14.24-11.49-23.0820.8327.8429.9425.4622.9916.9715.9457.31--
Total Non-Current Liabilities8.18M10.17M18.27M21.73M39.57M41.22M45.51M49.83M-59.99M257.08K019.95M8.93K37.73K59.78K92.49K121.31K144.25K182.02K211.91K
Long-Term Debt8.16M10.15M8.75M11.33M13.46M14.36M17.77M22.42M00008.93K37.73K59.78K92.49K121.31K144.25K182.02K211.91K
Capital Lease Obligations003.75M4.27M4.77M5.23M2.72M2.28M0257.08K0000000000
Deferred Tax Liabilities005.76M6.11M6.33M6.61M0000019.95M04.71K4.41K4.66K4.81K5.14K00
Other Non-Current Liabilities19.04K19.51K15.95K15.77K15.01M15.01M25.02M25.13M-59.99M0000-4.71K-4.41K-4.66K-4.81K-5.14K00
Total Liabilities61.44M69.74M82.68M85.29M101.58M104.77M114.9M101.15M-59.99M4.95M4.48M4.09M3.95M3.87M2.77M3.7M4.62M4.56M1.53M1.65M
Total Debt18.89M23.39M25.97M29.2M35.71M39.35M39.42M55.69M0338.16K59.09K88.2K112.18K144.78K154.86K193.49K221.58K802.61K100.21K298.56K
Net Debt2.65M5.31M3.93M7.07M6.05M9.22M1.01M22.86M0-16.95M-17.04M-16.05M-15.64M-15.28M-14.79M-15.68M-15.59M-14.44M-16.7M-13.58M
Debt / Equity0.37x0.48x0.20x0.23x0.32x0.36x0.40x0.62x-0.01x0.00x0.00x0.00x0.00x0.01x0.01x0.01x0.03x0.01x0.02x
Debt / EBITDA5.98x-6.96x19.41x10.25x12.30x18.50x97.17x-0.84x0.05x----0.27x0.26x1.60x0.27x0.57x
Net Debt / EBITDA0.84x-1.05x4.70x1.74x2.88x0.47x39.89x--42.32x-13.04x-----21.47x-18.16x-28.84x-44.36x-25.85x
Interest Coverage8.93x-0.18x2.21x-1.19x0.60x0.21x-0.81x3.85x-562.14x380.98x-117.01x-663.15x-329.61x-229.20x919.69x1399.51x916.00x-11350.36x
Total Equity50.43M48.34M127.1M124.98M112.38M108.95M98.59M90.39M59.99M32.15M31.1M30.9M30.86M30.52M29.8M29.69M28.88M27.58M18.93M15.59M
Equity Growth %-55.12%-55.63%28.92%38.27%87.34%238.92%216.97%192.52%94.41%5.34%4.39%4.08%6.83%10.66%57.42%90.38%107.48%107.95%223.33%346.57%
Book Value per Share3.944.1710.6810.8710.2410.129.748.448.629.9510.3210.2610.2510.9912.699.759.659.258.115.39
Total Shareholders' Equity48.73M46.55M123.54M121.28M108.53M105.07M94.25M89.53M59.99M32.15M31.1M30.9M30.86M30.52M26.8M26.75M26M24.81M18.93M15.59M
Common Stock1261261.41K1.39K1.33K1.29K1.23K1.21K0366362361361361282282281280272238
Retained Earnings0053.73M53.16M56.82M57.05M59.18M62.58M0-25.77M-25.85M-26.62M-25.65M-25.12M-24.67M-22.86M-23.49M-24.08M-24.42M-24.46M
Treasury Stock00-121.43K-121.43K-121.43K-121.43K-1.67K0000---------
Accumulated OCI-4.08M-3.75M-3.19M-2.52M-6.72M-8.09M-3.6M-5.41M59.03M124.73K-73.16K122.07K42.85K-53.49K-205.75K-108.78K-54.9K55.33K-1.72K636
Minority Interest1.7M1.79M3.55M3.7M3.85M3.88M4.33M860.71K0000003M2.94M2.88M2.77M00