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Gamestop Corp (GME)

Gamestop Corp (GME)
27.49 x 2,900 27.51 x 2,100
Post-market by (Cboe BZX)
25.40 -0.21 (-0.82%) 03/25/25 [NYSE]
27.49 x 2,900 27.51 x 2,100
Post-market 27.50 +2.10 (+8.27%) 19:59 ET
Financial Summary for Tue, Mar 25th, 2025
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GameStop Corp. offers the best selection of new and pre-owned video gaming consoles, accessories and video game titles, in both physical and digital formats. The company sells various types of digital products, including downloadable content, network points cards, prepaid digital, prepaid subscription cards and digitally downloadable software as well as collectible products. The company also publishes Game Informer, the print and digital video game publication. The company's products are categorized as follows: Hardware and Accessories - GameStop offers new and pre-owned video game platforms from the major console and PC manufacturers. Accessories consist primarily of controllers, gaming headsets, virtual reality products and memory cards. Software: The company provides new and pre-owned video game software for current and certain prior generation consoles. Collectibles: The category consists of licensed merchandise, primarily related to the video game, television and movie industries and pop-culture themes.

Fiscal Year End Date: 01/31

(Values in U.S. Thousands) Jan, 2024 Jan, 2023 Jan, 2022 Jan, 2021 Jan, 2020
Sales 5,272,800 5,927,200 6,010,700 5,089,800 6,466,000
Sales Growth -11.04% -1.39% +18.09% -21.28% -21.96%
Net Income 6,700 -313,100 -381,300 -215,300 -470,900
Net Income Growth +102.14% +17.89% -77.10% +54.28% +30.03%
(Values in U.S. Thousands) Jan, 2024 Jan, 2023 Jan, 2022 Jan, 2021 Jan, 2020
Total Assets 2,709,000 3,113,400 3,499,300 2,472,600 2,819,700
Total Assets Growth -12.99% -11.03% +41.52% -12.31% -30.28%
Total Liabilities 1,370,400 1,791,100 1,896,800 2,035,900 2,208,200
Total Liabilities Growth -23.49% -5.57% -6.83% -7.80% -18.46%
(Values in U.S. Thousands) Jan, 2024 Jan, 2023 Jan, 2022 Jan, 2021 Jan, 2020
Operating Cash Flow -203,700 108,200 -434,300 123,700 -414,500
Operating Cash Flow Growth -288.26% +124.91% -451.09% +129.84% -227.50%
Net Cash Flow -257,100 -123,900 684,900 121,500 -1,127,000
Change in Net Cash Flow -107.51% -118.09% +463.70% +110.78% -246.10%
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