Reported Q: Q3 2024 Rev YoY: +10,363.7% EPS YoY: N/A Move: 0.00%
Global Technologies Ltd
GTLL
$0.000100 0.00%
Exchange OTC Sector Industrials Industry Conglomerates
Q3 2024
Published: May 14, 2024

Company Status Snapshot

Fast view of the latest quarter outcome for GTLL

Reported

Report Date

May 14, 2024

Quarter Q3 2024

Revenue

451.51K

YoY: +10,363.7%

EPS

0.00

YoY: N/A

Market Move

0.00%

Previous quarter: N/A

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Earnings Highlights

  • Revenue of $0.45M up 10% year-over-year
  • EPS of $0.00 increased by 0% from previous year
  • Gross margin of 17.3%
  • Net income of 2.76M
  • "N/A" -
GTLL
Company GTLL

Executive Summary

Global Technologies Ltd (GTLL) reported QQ3 2024 with a striking revenue line of 451,509 USD (units as reported), accompanied by an outsized non-operating income contribution that drove net income of 2,756,900 and an EPS of 0.0002. The quarter shows YoY revenue growth of 10,363.71% and robust gains in gross profit (YoY +597.53%), but operating performance remains materially negative at the operating line level (-25,950) with a negative operating margin (-5.75%). The EBITDA bridge stands at 2,810,224 with an EBITDA margin of approximately 6.22%, underscoring that a large portion of profitability is coming from non-core items (total other income net = 2,782,847). Net income strength appears skewed by these non-operating components rather than underlying cash-generating activities.

From a balance sheet perspective, GTLL presents a precarious liquidity and solvency profile. Total assets are reported at 8,112,781 with total liabilities of 8,743,660 and negative stockholders’ equity of -630,878. The current ratio and quick ratio sit at approximately 0.0392, highlighting severe short-term liquidity risk despite a small cash balance (cash end of period 144,575). Net debt stands at 2,193,494 with a cash balance of 144,575, suggesting meaningful leverage and potential covenant strain. The company carries a very large goodwill balance (7,685,636) and negative equity, which raises impairment and solvency concerns and could lead to further balance sheet deterioration if non-operating gains do not persist.

Industry context and data integrity cautions: the dataset exhibits several anomalies (e.g., net income margin metrics that imply outsized profitability given a modest revenue base, extremely high goodwill relative to assets, and negative equity). While a handful of valuation ratios (e.g., price-to-sales ~9.76 and enterprise value multiple ~2.35) imply a mixed-to-bearish investment risk, the negative book value and liquidity gaps argue for a highly selective, risk-tolerant stance if any upside catalysts emerge. Investors should weigh the potential for one-off accounting effects against persistent cash-generation capability and balance sheet deleveraging needs.

Key Performance Indicators

Revenue
Increasing
451.51K
QoQ: N/A | YoY: 10 363.71%
Gross Profit
Increasing
78.04K
17.28% margin
QoQ: 394.01% | YoY: 597.53%
Operating Income
Increasing
-25.95K
QoQ: 58.88% | YoY: 43.95%
Net Income
Increasing
2.76M
QoQ: 179.68% | YoY: 511.48%
EPS
Stable
0.00
QoQ: 200.00% | YoY: N/A

Revenue Trend

Margin Analysis

Historical Earnings Comparison

PeriodRevenue ($M)EPS ($)YoY GrowthReport
Q3 2025 1.00 0.00 +121.9% View
Q2 2025 0.92 0.00 +0.0% View
Q1 2025 0.67 0.00 +0.0% View
Q4 2024 0.61 0.00 +20.0% View
Q3 2024 0.45 0.00 +10.0% View