GameStop Corp. (GME) Annual Margin Report - Discounting Cash Flows
GameStop Corp.
GME (NYSE)

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

Margin Analysis (% of Revenue)

In USD

amounts of USD except for #

Average LTM 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Revenue 6,461 3,674 3,823 5,273 5,927 6,011 5,090 6,466 8,285 8,547 8,608 9,364
Revenue Growth Rate -7.28% -3.91% -27.5% -11.04% -1.39% 18.09% -21.28% -21.96% -3.06% -0.706% -8.07% 0.729%
Cost of Revenue 4,661 2,551 2,709 4,034 4,555 4,663 3,830 4,557 5,977 6,184 5,764 6,446
Gross Profit 1,876 1,122 1,114 1,239 1,372 1,348 1,260 1,909 2,308 3,040 3,009 2,918
Gross Margin 28.42% 30.55% 29.14% 23.5% 23.15% 22.42% 24.75% 29.52% 27.86% 35.57% 34.96% 31.17%
Operating Income -35.24 57.7 -26.2 -34.5 -311.6 -361.8 -254.7 -399.6 -702 439.2 557.7 648.2
Operating Margin -1.11% 1.57% -0.685% -0.654% -5.26% -6.02% -5% -6.18% -8.47% 5.14% 6.48% 6.92%
Net Income -83.33 208.3 131.3 6.7 -313.1 -381.3 -215.3 -470.9 -673 34.7 353.2 402.8
Net Margin -1.2% 5.67% 3.43% 0.127% -5.28% -6.34% -4.23% -7.28% -8.12% 0.406% 4.1% 4.3%

amounts of USD except for #

Average LTM 2024 2023 2022 2021 2020 2019 2018 2017 2016 2015
Revenue 6,461 3,674 3,823 5,273 5,927 6,011 5,090 6,466 8,285 8,547 8,608 9,364
Cash From Operating Activities Margin 2.28% 12.2% 3.81% -3.86% 1.82% -7.22% 2.43% -6.41% 3.92% 5.09% 6.24% 7.01%
Cash From Operating Activities 157 448 145.7 -203.7 108.2 -434.3 123.7 -414.5 325.1 434.9 537.1 656.8
Free Cash Flow Margin 1.2% 11.81% 3.39% -4.52% 0.882% -8.26% 1.25% -7.62% 2.79% 3.76% 4.58% 5.17%
Free Cash Flow 80.23 433.9 129.6 -238.6 52.3 -496.3 63.7 -493 231.4 321.5 394.4 483.6
Depreciation and Amortization Margin 1.38% 0.754% 1.02% 1.07% 1.04% 1.28% 1.59% 1.49% 1.53% 1.78% 1.94% 1.69%
Depreciation and Amortization 94.75 27.7 38.9 56.2 61.7 77.2 80.7 96.2 126.9 151.9 166.7 158.2
Capital Expenditure Margin -1.07% -0.384% -0.421% -0.662% -0.943% -1.03% -1.18% -1.21% -1.13% -1.33% -1.66% -1.85%
Capital Expenditure -76.77 -14.1 -16.1 -34.9 -55.9 -62 -60 -78.5 -93.7 -113.4 -142.7 -173.2
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Discounting Cash Flows

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