Reported Q: Q3 2025 Rev YoY: -36.8% EPS YoY: +452.6% Move: N/A
GAINP
GAINP
Q3 2025
Published: Feb 12, 2025

Company Status Snapshot

Fast view of the latest quarter outcome for GAINP

Reported

Report Date

Feb 12, 2025

Quarter Q3 2025

Revenue

42.07M

YoY: -36.8%

EPS

1.05

YoY: +452.6%

Market Move

N/A

Previous quarter: Q2 2025

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Earnings Highlights

  • Revenue of $42.07M down 36.8% year-over-year
  • EPS of $1.05 increased by 452.6% from previous year
  • Gross margin of 84.8%
  • Net income of 38.49M
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GAINP
Company GAINP

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Executive Summary

GAINP posted Q3 2025 revenue of $42.07 million, up 92.3% QoQ but down 36.8% YoY, underscoring a meaningful sequential recovery against a challenging year-ago period. The quarter delivered a high gross margin of 84.8% and an operating income of $38.49 million, with net income matching the operating line at $38.49 million and basic EPS of $1.05, indicating strong fundamental profitability on an accounting basis.

However, cash generation did not reflect the earnings strength. Operating cash flow was deeply negative at $(175.56) million, contributing to a negative free cash flow of $(171.86) million for the quarter. The discrepancy is driven by substantial non-cash items and aggressive investing activity, including sizable purchases of investments and capital redeployments. Financing activities provided a net inflow of $172.33 million, largely offsetting the cash burn and leaving the company with a modest cash balance of $3.15 million at quarter end. The balance sheet shows a sizable asset base dominated by long-term investments and a leveraged capital structure, with total debt of $455.06 million and net debt of $451.91 million, while liquidity remains tight given very small working capital cushions (current ratio 0.0186).

From a valuation perspective, the stock trades at a modest earnings multiple (P/E ~3.2) and a premium to sales (P/S ~11.6), with a dividend yield of approximately 7.1%. Absent an offsetting improvement in cash flow, the ability to sustain ongoing distributions or fund growth from internal cash will be a focal point for investors. Overall, the quarter highlights a company that generates solid earnings power on an accounting basis but faces meaningful liquidity and funding headwinds that require close monitoring and potential strategic actions (deleveraging, asset monetization, or working-capital optimization).

Key Performance Indicators

Revenue
Decreasing
42.07M
QoQ: 92.25% | YoY: -36.78%
Gross Profit
Decreasing
35.69M
84.82% margin
QoQ: 130.46% | YoY: -32.93%
Operating Income
Increasing
38.49M
QoQ: 148.61% | YoY: 92.96%
Net Income
Increasing
38.49M
QoQ: 148.61% | YoY: 485.04%
EPS
Increasing
1.05
QoQ: 150.00% | YoY: 452.63%

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q1 2026 23.54 0.21 +6.2% View
Q4 2025 25.74 -1.29 +186.0% View
Q3 2025 42.07 1.05 -36.8% View
Q2 2025 21.88 0.42 +6.4% View
Q1 2025 22.18 -0.18 +3.4% View