GP-Act III Acquisition Corp Class A Ordinary Share (GPAT) Financials

Balance sheets

30 Sept 202430 June 202431 Mar 202431 Dec 202301 Sept 202301 June 202301 Mar 2023

Total Assets

$294.1 M(+1.3%)$290.5 M(+22755.8%)$1.3 M(+139.7%)$530.2 K---

Current Assets

$848.6 K(-15.4%)$1.0 M(+522.0%)$161.3 K(+4787.9%)$3300.0---

Non Current Assets

$293.2 M(+1.3%)$289.4 M(+25988.2%)$1.1 M(+110.6%)$526.9 K---

Total Liabilities

$14.6 M(-0.1%)$14.6 M(+922.6%)$1.4 M(+127.4%)$628.2 K---

Current Liabilities

$558.8 K(-2.0%)$570.0 K(-56.5%)$1.3 M(+108.8%)$628.2 K---

Long Term Liabilities

$14.0 M(0%)$14.0 M(+11949.4%)$116.5 K(+100.0%)$0.0---

Shareholders Equity

$279.5 M(+1.3%)$275.8 M(+175016.8%)-$157.7 K(-61.1%)-$97.9 K---

Book Value

$279.5 M(+1.3%)$275.8 M(+175016.8%)-$157.7 K(-61.1%)-$97.9 K---

Working Capital

$289.8 K(-33.1%)$433.2 K(+137.7%)-$1.2 M(-84.1%)-$624.9 K---

Cash And Cash Equivalents

$513.5 K(-10.2%)$571.8 K(+273.2%)$153.2 K(+12666.7%)$1200.0---

Accounts Payable

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Accounts Receivable

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Short Term Debt

$400.0 K(0%)$400.0 K(-51.7%)$828.2 K(+31.8%)$628.2 K---

Long Term Debt

-$450.0 K-----

Total Debt

$400.0 K(-52.9%)$850.0 K(+2.6%)$828.2 K(+31.8%)$628.2 K(+100.0%)$0.0(0%)$0.0(0%)$0.0

Debt To Equity

0.0(0%)0.0(+100.0%)-5.3(+18.2%)-6.4---

Current Ratio

1.5(-13.6%)1.8(+1366.7%)0.1(+1100.0%)0.0---

Quick Ratio

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Inventory

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Retained Earnings

-$13.7 M(-1.1%)-$13.6 M(-7346.6%)-$182.7 K(-48.7%)-$122.9 K---

PB Ratio

1.3------

Income statements

30 Sept 202430 June 202431 Mar 202431 Dec 202301 Sept 202301 June 202301 Mar 2023

EPS

$0.1(+25.0%)$0.1(+4310.5%)-$0.0(-5.6%)-$0.0(-1700.0%)-$0.0(0%)-$0.0(0%)-$0.0

TTM EPS

$0.2(+131.4%)$0.1(+2053.8%)-$0.0(-85.7%)-$0.0(-600.0%)-$0.0(-50.0%)-$0.0(-100.0%)-$0.0

Revenue

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TTM Revenue

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Total Expenses

$143.5 K(-19.1%)$177.4 K(+197.2%)$59.7 K(+393.4%)$12.1 K(+1916.7%)$600.0(0%)$600.0(-14.3%)$700.0

Operating Expenses

$143.5 K(-19.1%)$177.4 K(+197.2%)$59.7 K(+393.4%)$12.1 K(+1916.7%)$600.0(0%)$600.0(-14.3%)$700.0

Cost Of Goods Sold

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TTM Cost Of Goods Sold

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Gross Profit

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TTM Gross Profit

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Gross Margin

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Operating Profit

-$143.5 K(+19.1%)-$177.4 K(-197.2%)-$59.7 K(-393.4%)-$12.1 K(-1916.7%)-$600.0(0%)-$600.0(+14.3%)-$700.0

TTM Operating Profit

-$392.7 K(-57.2%)-$249.8 K(-242.2%)-$73.0 K(-421.4%)-$14.0 K(-636.8%)-$1900.0(-46.1%)-$1300.0(-85.7%)-$700.0

Operating Margin

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Net Income

$3.7 M(+106.5%)$1.8 M(+3065.8%)-$59.7 K(-393.4%)-$12.1 K(-1916.7%)-$600.0(0%)-$600.0(+14.3%)-$700.0

TTM Net Income

$5.4 M(+215.3%)$1.7 M(+2426.3%)-$73.0 K(-421.4%)-$14.0 K(-636.8%)-$1900.0(-46.1%)-$1300.0(-85.7%)-$700.0

Net Margin

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EBIT

-$143.5 K(+19.1%)-$177.4 K(-197.2%)-$59.7 K(-393.4%)-$12.1 K(-1916.7%)-$600.0(0%)-$600.0(+14.3%)-$700.0

TTM EBIT

-$392.7 K(-57.2%)-$249.8 K(-242.2%)-$73.0 K(-421.4%)-$14.0 K(-636.8%)-$1900.0(-46.1%)-$1300.0(-85.7%)-$700.0

EBITDA

-$143.5 K(+19.1%)-$177.4 K(-197.2%)-$59.7 K(-393.4%)-$12.1 K(-1916.7%)-$600.0(0%)-$600.0(+14.3%)-$700.0

TTM EBITDA

-$392.7 K(-57.2%)-$249.8 K(-242.2%)-$73.0 K(-421.4%)-$14.0 K(-636.8%)-$1900.0(-46.1%)-$1300.0(-85.7%)-$700.0

Selling, General & Administrative Expenses

$143.5 K(-19.1%)$177.4 K(+197.2%)$59.7 K(+393.4%)$12.1 K(+1916.7%)$600.0(0%)$600.0(-14.3%)$700.0

TTM SG&A

$392.7 K(+57.2%)$249.8 K(+242.2%)$73.0 K(+421.4%)$14.0 K(+636.8%)$1900.0(+46.1%)$1300.0(+85.7%)$700.0

Depreciation And Amortization

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TTM D&A

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Interest Expense

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TTM Interest Expense

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Income Tax

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TTM Income Tax

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PE Ratio

57.2------

PS Ratio

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Cashflow statements

30 Sept 202430 June 202431 Mar 202431 Dec 202301 Sept 202301 June 202301 Mar 2023

Cash From Operations

-$58.3 K(+87.0%)-$448.5 K(-834.4%)-$48.0 K(-357.1%)-$10.5 K(-10400.0%)-$100.0(0%)-$100.0(+50.0%)-$200.0

TTM CFO

-$565.3 K(-11.5%)-$507.1 K(-763.9%)-$58.7 K(-438.5%)-$10.9 K(-2625.0%)-$400.0(-33.3%)-$300.0(-50.0%)-$200.0

Cash From Investing

$0.0(+100.0%)-$287.5 M--$0.0(0%)$0.0-

TTM CFI

-$287.5 M(0%)-$287.5 M--$0.0(0%)$0.0-

Cash From Financing

$0.0(-100.0%)$288.4 M(+144083.5%)$200.0 K(+1823.1%)$10.4 K(+100.0%)$0.0(0%)$0.0(0%)$0.0

TTM CFF

$288.6 M(0%)$288.6 M(+137056.6%)$210.4 K(+1923.1%)$10.4 K(+100.0%)$0.0(0%)$0.0(0%)$0.0

Free Cash Flow

-$58.3 K(+87.0%)-$448.5 K(-834.4%)-$48.0 K(-357.1%)-$10.5 K(-10400.0%)-$100.0(0%)-$100.0(+50.0%)-$200.0

TTM FCF

-$565.3 K(-11.5%)-$507.1 K(-763.9%)-$58.7 K(-438.5%)-$10.9 K(-2625.0%)-$400.0(-33.3%)-$300.0(-50.0%)-$200.0

CAPEX

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TTM CAPEX

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Dividends Paid

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TTM Dividends Paid

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TTM Dividend Per Share

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TTM Dividend Yield

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Payout Ratio

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