Symbols / GCT Stock $46.50 -2.66% GigaCloud Technology Inc.

Technology • Software - Infrastructure • United States • NGM
GCT (Stock) Chart
O: — H: — L: — C: — V: —
SMA 20: SMA 50: SMA 200:
About

GigaCloud Technology Inc. provides end-to-end B2B ecommerce solutions for large parcel merchandise in the United States and internationally. The company offers GigaCloud Marketplace that integrates product discovery to payments and logistics tools into one easy-to-use platform. It's marketplace connects manufacturers primarily in Asia with resellers in the United States, Asia, and Europe to execute cross-border transactions across furniture, home appliance, fitness equipment, and other large parcel categories. The company was formerly known as Oriental Standard Human Resources Holdings Limited and changed its name to GigaCloud Technology Inc. in February 2021. GigaCloud Technology Inc. was incorporated in 2006 and is headquartered in El Monte, California.

Stock Fundamentals
Scroll to Statements
Market Cap 1.70B Enterprise Value 1.80B Income 137.37M Sales 1.29B Book/sh 13.16 Cash/sh 11.36
Dividend Yield Payout 0.00% Employees 1644 IPO P/E 12.95 Forward P/E 9.61
PEG 0.27 P/S 1.32 P/B 3.53 P/C EV/EBITDA 11.75 EV/Sales 1.40
Quick Ratio 1.44 Current Ratio 2.02 Debt/Eq 96.68 LT Debt/Eq EPS (ttm) 3.59 EPS next Y 4.84
EPS Growth 37.70% Revenue Growth 22.60% Earnings 2026-05-11 ROA 7.98% ROE 30.84% ROIC
Gross Margin 23.31% Oper. Margin 11.10% Profit Margin 10.65% Shs Outstand 29.34M Shs Float 27.94M Short Float 9.63%
Short Ratio 4.12 Short Interest 52W High 51.86 52W Low 12.19 Beta 2.14 Avg Volume 666.25K
Volume 225.75K Target Price $53.75 Recom None Prev Close $47.77 Price $46.50 Change -2.66%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
$53.75
Mean price target
2. Current target
$46.50
Latest analyst target
3. DCF / Fair value
$81.23
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$46.50
Low
$40.00
High
$73.00
Mean
$53.75

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2025-08-08 main Lake Street Buy → Buy $33
2025-03-04 main Lake Street Buy → Buy $26
2025-03-04 down Roth MKM Buy → Neutral $15
2024-07-29 init Lake Street — → Buy $50
2024-05-22 init Maxim Group — → Buy $69
2024-04-02 main Roth MKM Buy → Buy $35
2023-12-07 main Roth MKM Buy → Buy $18
2023-09-19 reit Roth MKM Buy → Buy $16
2023-09-14 reit Roth MKM Buy → Buy $16
2023-08-16 main Roth MKM Buy → Buy $16
2023-06-16 init Roth MKM — → Buy $13
2023-03-20 reit Aegis Capital — → Buy $26
2022-10-03 init Aegis Capital — → Buy $26
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2026-04-10 WAN XIN Chief Technology Officer 5,500
2026-04-10 HAO XINYAN Chief Operating Officer 7,500
2026-04-07 WAN XIN Chief Technology Officer 4,600 $0.00 $0
2026-04-07 HAO XINYAN Chief Operating Officer 10,000 $0.00 $0
2026-04-07 WU LARRY LEI Chief Executive Officer 90,000 $0.00 $0
2026-04-07 SCHROCK IMAN AJ President 5,000 $0.00 $0
2026-04-07 WEI XIAOYANG Chief Financial Officer 12,000 $0.00 $0
2026-04-07 BERNES MARSHALL Officer and Director 7,150 $0.00 $0
2026-04-06 WU LARRY LEI Chief Executive Officer 110,000 $0.00 $0
2026-03-30 WU LARRY LEI Chief Executive Officer 120,000
Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
1,289.90
+11.10%
1,161.04
+64.96%
703.83
+43.62%
490.07
Operating Revenue
1,289.90
+11.10%
1,161.04
+64.96%
703.83
+43.62%
490.07
Cost Of Revenue
989.23
+12.95%
875.81
+69.99%
515.20
+26.60%
406.96
Reconciled Cost Of Revenue
989.23
+12.95%
875.81
+69.99%
515.20
+26.60%
406.96
Gross Profit
300.67
+5.41%
285.24
+51.21%
188.63
+126.96%
83.11
Operating Expense
155.59
+0.76%
154.42
+105.02%
75.32
+60.23%
47.01
Research And Development
10.83
+10.63%
9.79
+149.45%
3.92
+175.25%
1.43
Selling General And Administration
144.53
+0.51%
143.80
+102.81%
70.90
+51.94%
46.66
Selling And Marketing Expense
56.86
+39.70%
40.70
+78.65%
22.78
+91.54%
11.89
General And Administrative Expense
87.67
-14.97%
103.10
+114.25%
48.12
+38.39%
34.77
Salaries And Wages
59.60
-2.54%
61.16
+86.86%
32.73
+20.40%
27.18
Other Gand A
15.82
-15.63%
18.75
+66.18%
11.29
+131.32%
4.88
Other Operating Expenses
-0.04
+95.94%
-0.91
+16.04%
-1.08
Total Expenses
1,144.83
+11.12%
1,030.23
+74.46%
590.52
+30.08%
453.96
Operating Income
145.07
+10.90%
130.81
+15.44%
113.31
+213.82%
36.11
Total Operating Income As Reported
144.98
+10.99%
130.62
+18.66%
110.08
+214.30%
35.02
EBITDA
169.72
+13.61%
149.39
+25.43%
119.11
+259.65%
33.12
Normalized EBITDA
169.64
+12.48%
150.82
+25.41%
120.26
+216.70%
37.97
Reconciled Depreciation
8.33
-2.25%
8.52
+196.69%
2.87
+107.29%
1.39
EBIT
161.39
+14.57%
140.87
+21.19%
116.23
+266.30%
31.73
Total Unusual Items
0.08
+105.54%
-1.43
-24.00%
-1.15
+76.31%
-4.85
Total Unusual Items Excluding Goodwill
0.08
+105.54%
-1.43
-24.00%
-1.15
+76.31%
-4.85
Special Income Charges
-0.10
+50.26%
-0.19
+94.04%
-3.24
0.00
Net Income
137.37
+9.19%
125.81
+33.68%
94.11
+292.57%
23.97
Pretax Income
161.19
+14.63%
140.61
+22.28%
115.00
+269.00%
31.16
Net Non Operating Interest Income Expense
11.53
+26.01%
9.15
+343.27%
2.06
+2250.00%
-0.10
Interest Expense Non Operating
0.20
-21.88%
0.26
-79.35%
1.24
+118.31%
0.57
Net Interest Income
11.53
+26.01%
9.15
+343.27%
2.06
+2250.00%
-0.10
Interest Expense
0.20
-21.88%
0.26
-79.35%
1.24
+118.31%
0.57
Interest Income Non Operating
11.73
+24.71%
9.40
+184.65%
3.30
+600.00%
0.47
Interest Income
11.73
+24.71%
9.40
+184.65%
3.30
+600.00%
0.47
Other Income Expense
4.59
+606.00%
0.65
+269.71%
-0.38
+92.10%
-4.85
Other Non Operating Income Expenses
4.51
+117.24%
2.08
+170.66%
0.77
+12683.33%
0.01
Gain On Sale Of Security
0.17
+114.19%
-1.23
-159.11%
2.09
+142.97%
-4.85
Tax Provision
23.82
+60.87%
14.81
-29.11%
20.89
+190.42%
7.19
Tax Rate For Calcs
0.00
+40.56%
0.00
-42.03%
0.00
-21.30%
0.00
Tax Effect Of Unusual Items
0.01
+107.79%
-0.15
+28.12%
-0.21
+81.35%
-1.12
Net Income Including Noncontrolling Interests
137.37
+9.19%
125.81
+33.68%
94.11
+292.57%
23.97
Net Income From Continuing Operation Net Minority Interest
137.37
+9.19%
125.81
+33.68%
94.11
+292.57%
23.97
Net Income From Continuing And Discontinued Operation
137.37
+9.19%
125.81
+33.68%
94.11
+292.57%
23.97
Net Income Continuous Operations
137.37
+9.19%
125.81
+33.68%
94.11
+292.57%
23.97
Normalized Income
137.30
+8.04%
127.08
+33.70%
95.05
+243.07%
27.71
Net Income Common Stockholders
137.37
+9.19%
125.81
+33.68%
94.11
+308.61%
23.03
Otherunder Preferred Stock Dividend
0.00
0.00
-100.00%
0.94
Diluted EPS
3.05
+32.61%
2.30
+283.33%
0.60
Basic EPS
3.06
+32.47%
2.31
+285.00%
0.60
Basic Average Shares
41.08
+0.71%
40.79
+67.08%
24.41
Diluted Average Shares
41.20
+0.68%
40.92
+67.63%
24.41
Diluted NI Availto Com Stockholders
137.37
+9.19%
125.81
+33.68%
94.11
+308.61%
23.03
Gain On Sale Of PPE
-0.10
+50.26%
-0.19
+94.04%
-3.24
0.00
Insurance And Claims
3.83
-3.69%
3.98
+226.68%
1.22
-22.76%
1.58
Preferred Stock Dividends
Provision For Doubtful Accounts
0.23
-71.79%
0.83
+69.31%
0.49
Rent And Landing Fees
8.41
-56.22%
19.20
+565.42%
2.89
+155.17%
1.13
Rent Expense Supplemental
8.41
-56.22%
19.20
+565.42%
2.89
+155.17%
1.13
Line Item Trend 2025-12-31 2024-12-31 2023-12-31
Total Assets
1,202.46
+12.33%
1,070.47
+26.40%
846.91
Current Assets
690.66
+26.13%
547.59
+39.40%
392.81
Cash Cash Equivalents And Short Term Investments
416.10
+37.58%
302.43
+65.01%
183.28
Cash And Cash Equivalents
379.78
+46.20%
259.76
+41.73%
183.28
Cash Financial
183.28
Other Short Term Investments
36.32
-14.90%
42.67
0.00
Receivables
77.69
+18.88%
65.35
-7.76%
70.85
Accounts Receivable
65.97
+15.11%
57.31
-2.65%
58.88
Gross Accounts Receivable
66.57
+14.28%
58.25
-1.90%
59.38
Allowance For Doubtful Accounts Receivable
-0.59
+36.61%
-0.94
-87.40%
-0.50
Other Receivables
0.28
-76.24%
1.17
-42.59%
2.03
Taxes Receivable
2.94
+156.00%
1.15
0.00
Inventory
188.30
+9.17%
172.49
+30.43%
132.25
Finished Goods
188.30
+9.17%
172.49
+30.43%
132.25
Prepaid Assets
5.02
+3.59%
4.85
+30.31%
3.72
Restricted Cash
0.76
+10.95%
0.69
-22.60%
0.89
Other Current Assets
2.79
+56.68%
1.78
-2.03%
1.82
Total Non Current Assets
511.80
-2.12%
522.88
+15.15%
454.10
Net PPE
463.74
-3.67%
481.43
+13.67%
423.54
Gross PPE
480.09
-2.43%
492.03
+14.82%
428.51
Accumulated Depreciation
-16.36
-54.23%
-10.60
-113.10%
-4.98
Machinery Furniture Equipment
8.74
+2.25%
8.55
+46.21%
5.84
Other Properties
471.35
-2.51%
483.49
+14.39%
422.67
Goodwill And Other Intangible Assets
17.56
-6.49%
18.78
-10.35%
20.95
Goodwill
12.59
+0.00%
12.59
+0.00%
12.59
Other Intangible Assets
4.98
-19.68%
6.20
-25.92%
8.37
Non Current Deferred Assets
12.98
+29.47%
10.03
+596.25%
1.44
Non Current Deferred Taxes Assets
12.98
+29.47%
10.03
+596.25%
1.44
Other Non Current Assets
17.52
+38.52%
12.64
+54.72%
8.17
Total Liabilities Net Minority Interest
716.66
+7.73%
665.26
+19.54%
556.49
Current Liabilities
342.25
+29.45%
264.38
+28.48%
205.77
Payables And Accrued Expenses
163.73
+33.24%
122.89
+14.81%
107.04
Payables
162.09
+32.44%
122.38
+15.41%
106.04
Accounts Payable
105.41
+34.86%
78.16
+12.05%
69.76
Other Payable
31.23
+13.04%
27.63
+44.43%
19.13
Current Accrued Expenses
1.65
+225.30%
0.51
-49.40%
1.00
Total Tax Payable
25.45
+53.40%
16.59
-3.27%
17.15
Income Tax Payable
17.51
+28.60%
13.62
-10.50%
15.21
Current Debt And Capital Lease Obligation
100.67
+13.54%
88.66
+48.72%
59.62
Current Debt
Other Current Borrowings
Current Capital Lease Obligation
100.67
+13.54%
88.66
+48.72%
59.62
Current Deferred Liabilities
6.46
+43.98%
4.49
-18.98%
5.54
Current Deferred Revenue
6.46
+43.98%
4.49
-18.98%
5.54
Other Current Liabilities
71.39
+47.66%
48.34
+43.95%
33.58
Total Non Current Liabilities Net Minority Interest
374.41
-6.60%
400.88
+14.30%
350.72
Long Term Debt And Capital Lease Obligation
369.01
-6.73%
395.62
+15.13%
343.62
Long Term Debt
Long Term Capital Lease Obligation
369.01
-6.73%
395.62
+15.13%
343.62
Tradeand Other Payables Non Current
4.60
+6.55%
4.32
+30.86%
3.30
Non Current Deferred Liabilities
0.80
-15.30%
0.94
-75.20%
3.79
Non Current Deferred Taxes Liabilities
0.80
-15.30%
0.94
-75.20%
3.79
Stockholders Equity
485.80
+19.89%
405.22
+39.53%
290.42
Common Stock Equity
485.80
+19.89%
405.22
+39.53%
290.42
Capital Stock
1.86
-9.19%
2.05
-0.20%
2.05
Common Stock
1.86
-9.19%
2.05
-0.20%
2.05
Preferred Stock
Share Issued
37.15
-9.29%
40.96
-0.29%
41.08
Ordinary Shares Number
36.91
-8.51%
40.35
-1.07%
40.78
Treasury Shares Number
0.24
-61.06%
0.61
+107.26%
0.29
Additional Paid In Capital
88.67
-26.27%
120.26
+7.63%
111.74
Retained Earnings
400.87
+34.13%
298.86
+68.18%
177.70
Gains Losses Not Affecting Retained Earnings
1.53
+136.92%
-4.14
-886.31%
0.53
Treasury Stock
7.13
-39.69%
11.82
+641.28%
1.59
Other Equity Adjustments
1.53
+136.92%
-4.14
-886.31%
0.53
Total Equity Gross Minority Interest
485.80
+19.89%
405.22
+39.53%
290.42
Total Capitalization
485.80
+19.89%
405.22
+39.53%
290.42
Working Capital
348.41
+23.02%
283.21
+51.42%
187.03
Invested Capital
485.80
+19.89%
405.22
+39.53%
290.42
Total Debt
469.68
-3.01%
484.28
+20.10%
403.24
Capital Lease Obligations
469.68
-3.01%
484.28
+20.10%
403.24
Net Tangible Assets
468.24
+21.17%
386.43
+43.41%
269.46
Tangible Book Value
468.24
+21.17%
386.43
+43.41%
269.46
Duefrom Related Parties Current
8.50
+48.45%
5.72
-42.43%
9.95
Other Equity Interest
Preferred Stock Equity
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
190.66
+20.61%
158.08
+18.45%
133.45
+168.75%
49.66
Cash Flow From Continuing Operating Activities
190.66
+20.61%
158.08
+18.45%
133.45
+168.75%
49.66
Net Income From Continuing Operations
137.37
+9.19%
125.81
+33.68%
94.11
+292.57%
23.97
Depreciation Amortization Depletion
8.33
-2.25%
8.52
+196.69%
2.87
+107.29%
1.39
Depreciation
Depreciation And Amortization
8.33
-2.25%
8.52
+196.69%
2.87
+107.29%
1.39
Other Non Cash Items
7.13
-76.98%
30.98
+445.20%
5.68
+15.44%
4.92
Stock Based Compensation
4.95
-70.57%
16.82
+572.19%
2.50
-72.78%
9.20
Provisionand Write Offof Assets
0.26
+205.81%
0.09
Asset Impairment Charge
0.67
+111.01%
0.32
Deferred Tax
0.40
+117.49%
0.18
Deferred Income Tax
0.40
+117.49%
0.18
Operating Gains Losses
2.26
+6.29%
2.13
Net Foreign Currency Exchange Gain Loss
-0.97
-145.72%
2.13
Gain Loss On Sale Of PPE
3.24
+80800.00%
0.00
Change In Working Capital
32.87
+236.62%
-24.06
-185.07%
28.29
+177.88%
10.18
Change In Receivables
-5.76
-2363.68%
-0.23
+95.37%
-5.06
+44.79%
-9.16
Changes In Account Receivables
-5.76
-2363.68%
-0.23
+95.37%
-5.06
+44.79%
-9.16
Change In Inventory
-11.52
+75.43%
-46.88
-183.85%
-16.51
-692.96%
2.79
Change In Prepaid Assets
-5.23
-214.05%
-1.67
+82.00%
-9.25
-568.28%
-1.38
Change In Payables And Accrued Expense
56.62
+52.33%
37.16
-35.07%
57.23
+194.34%
19.45
Change In Accrued Expense
20.23
+40.94%
14.36
Change In Payable
56.62
+52.33%
37.16
-35.07%
57.23
+194.34%
19.45
Change In Account Payable
52.91
+38.54%
38.19
-17.45%
46.26
+120.54%
20.98
Change In Other Working Capital
-1.23
+90.12%
-12.45
-765.63%
1.87
+224.24%
-1.51
Change In Other Current Liabilities
-4.01
Investing Cash Flow
-5.09
+90.82%
-55.42
+38.80%
-90.55
-12671.09%
-0.71
Cash Flow From Continuing Investing Activities
-5.09
+90.82%
-55.42
+38.80%
-90.55
-12671.09%
-0.71
Net PPE Purchase And Sale
-7.68
+42.81%
-13.43
-242.85%
-3.92
-452.61%
-0.71
Purchase Of PPE
-7.87
+49.32%
-15.54
-254.70%
-4.38
-517.77%
-0.71
Sale Of PPE
0.19
-90.92%
2.10
+355.19%
0.46
0.00
Capital Expenditure
-7.87
+49.32%
-15.54
-254.70%
-4.38
-517.77%
-0.71
Net Investment Purchase And Sale
3.59
+108.56%
-41.99
0.00
0.00
Purchase Of Investment
-94.69
-28.26%
-73.83
0.00
0.00
Sale Of Investment
98.29
+208.64%
31.84
0.00
0.00
Net Business Purchase And Sale
-1.00
0.00
+100.00%
-86.63
0.00
Purchase Of Business
-1.00
0.00
+100.00%
-86.63
0.00
Financing Cash Flow
-67.78
-171.46%
-24.97
-523.76%
-4.00
-112.55%
31.89
Cash Flow From Continuing Financing Activities
-67.78
-171.46%
-24.97
-523.76%
-4.00
-112.55%
31.89
Net Issuance Payments Of Debt
-0.38
+78.16%
-1.73
+28.35%
-2.41
+38.80%
-3.94
Issuance Of Debt
0.00
Repayment Of Debt
-0.38
+78.16%
-1.73
+28.35%
-2.41
+38.80%
-3.94
Long Term Debt Issuance
0.00
Long Term Debt Payments
-0.38
+78.16%
-1.73
+28.35%
-2.41
+38.80%
-3.94
Net Long Term Debt Issuance
-0.38
+78.16%
-1.73
+28.35%
-2.41
+38.80%
-3.94
Net Common Stock Issuance
-67.40
-189.99%
-23.24
-1358.16%
-1.59
-104.65%
34.24
Common Stock Payments
-67.40
-189.99%
-23.24
-1358.16%
-1.59
0.00
Repurchase Of Capital Stock
-67.40
-189.99%
-23.24
-1358.16%
-1.59
0.00
Proceeds From Stock Option Exercised
0.00
Net Other Financing Charges
1.58
Changes In Cash
117.79
+51.62%
77.69
+99.71%
38.90
-51.87%
80.83
Effect Of Exchange Rate Changes
2.31
+263.01%
-1.41
-844.21%
0.19
-50.00%
0.38
Beginning Cash Position
260.44
+41.42%
184.17
+26.95%
145.08
+127.17%
63.86
End Cash Position
380.54
+46.11%
260.44
+41.42%
184.17
+26.95%
145.08
Free Cash Flow
182.79
+28.23%
142.54
+10.44%
129.07
+163.70%
48.95
Interest Paid Supplemental Data
0.20
-21.88%
0.26
-79.35%
1.24
+118.31%
0.57
Income Tax Paid Supplemental Data
23.46
-10.80%
26.30
+176.50%
9.51
+11.39%
8.54
Change In Income Tax Payable
3.71
+462.56%
-1.02
-109.32%
10.98
+817.45%
-1.53
Change In Tax Payable
3.71
+462.56%
-1.02
-109.32%
10.98
+817.45%
-1.53
Common Stock Issuance
0.00
0.00
-100.00%
34.24
Issuance Of Capital Stock
0.00
0.00
-100.00%
34.24
Net Preferred Stock Issuance
0.00
Preferred Stock Issuance
0.00
SEC Filings

Recent 10-K, 10-Q, 8-K, and Form 4 (insider) filings.

Trades
Date User Broker Pattern Type Position Size Entry Price Trade P&L Status
Posts
Published Title Author Category