Guardforce AI Co., Limited (GFAI) Annual Margin Report - Discounting Cash Flows
GFAI
Guardforce AI Co., Limited
GFAI (NASDAQ)

Annual Margin Analysis Report

Margins refer to the ratio between a financial report item and the revenue (Example: Net Income Margin = Net Income / Revenue).

This analysis provides a report of the company's key margins, which could be further used in a valuation model.

Interactive Assumptions

Historical Years

Historical Years

Number of historical years used to render the Chart and Tables.

Margin Analysis (% of Revenue)

Monetary values are in USD

amounts of USD except for #

Average LTM 2024 2023 2022 2021 2020
Revenue 36.04 36.35 36.35 36.28 34.48 35.15 37.65
Revenue Growth Rate -1.11% 0% 0.184% 5.23% -1.92% -6.63% -2.39%
Cost of Revenue 32.01 30.09 30.09 34.76 33.24 32.35 31.54
Gross Profit 4.03 6.26 6.26 1.53 1.23 2.81 6.11
Gross Margin 11.07% 17.22% 17.22% 4.2% 3.58% 7.98% 16.22%
Operating Income -10.18 -6.72 -6.72 -29.3 -12.48 -3.7 -2.12
Operating Margin -28.35% -18.49% -18.49% -80.77% -36.2% -10.54% -5.64%
Net Income -11.41 -5.86 -5.86 -29.57 -18.56 -5.48 -3.13
Net Margin -31.92% -16.13% -16.13% -81.51% -53.85% -15.59% -8.3%

amounts of USD except for #

Average LTM 2024 2023 2022 2021 2020
Revenue 36.04 36.35 36.35 36.28 34.48 35.15 37.65
Cash From Operating Activities Margin -10.79% -9.15% -9.15% -3.28% -55.66% 0.151% 12.38%
Cash From Operating Activities -3.72 -3.33 -3.33 -1.19 -19.19 0.053 4.66
Free Cash Flow Margin -18.86% -9.99% -9.99% -9.14% -77.83% -14.78% 8.57%
Free Cash Flow -6.56 -3.63 -3.63 -3.32 -26.84 -5.2 3.23
Depreciation and Amortization Margin 13% 9.26% 9.26% 14.45% 17.35% 14.32% 13.37%
Depreciation and Amortization 4.67 3.37 3.37 5.24 5.98 5.03 5.03
Capital Expenditure Margin -8.07% -0.843% -0.843% -5.86% -22.17% -14.93% -3.8%
Capital Expenditure -2.84 -0.307 -0.307 -2.13 -7.64 -5.25 -1.43
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Discounting Cash Flows

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