RightCrowd Ltd

  • IPO date:
  • Sector: Technology
  • GIC Group: Software & Services
  • Industry: Software-Infrastructure
  • Company website

Company description

Gathid Ltd develops and sells physical security, safety, and compliance software solutions in North America, Europe, the Middle East, Africa, Oceania, Asia, Australia, and Latin America. It offers RightCrowd Workforce Access, a solution that automates the access control processes for employees and contractors across their lifecycle; RightCrowd Access Analytics, a software solution that maps, measures, and monitors inappropriate access permissions, and shows where access is out of compliance; RightCrowd Visitor Management, a solution that ensures safety, security, and compliance of visitors through buildings and facilities; and RightCrowd Presence Control, a solution that enables human and automated validation of security permissions and safety requirements. The company was formerly known as RightCrowd Limited. Gathid Ltd was incorporated in 2004 and is headquartered in Robina, Australia.

Financial highlights

Market Capitalization$6.0586 million
P/E Ratio
P/E Growth Ratio
Book Value0.01
Dividend Per Share0
Earnings Per Share0
EBITDA-1,182
Profit Margin0
Operating Margin TTM-3.2938
Return on Assets TTM-0.0513
Return on Equity TTM-0.1785
Revenue TTM371

Income statement highlights

All numbers are in thousands

Date Total Revenue Cost of Revenue Gross Profit Total Operating Expenses
2014-06-30 3,729 0 3,729.184 4,184.186
2015-06-30 6,113.15 0 5,322.273 5,468.593
2016-06-30 7,741.67 0 8,802.468 9,708.965
2017-06-30 4,146.98 0 4,235.17 8,446.818
2018-06-30 5,520.755 0 5,520.755 14,094.411
2019-06-30 9,378.615 9,378.615 17,788.295
2020-06-30 11,534.107 128.098 11,406.009 21,384.47
2021-06-30 15,479.042 2,282.642 13,196.4 21,503.004
2022-06-30 15,077 2,031 13,046 22,905
2023-06-30 371 46 325 1,991

Balance sheet highlights

All numbers are in thousands

Date Cash Total Assets Total Liabilities Short Term Debt Long Term Debt Common Stock
2014-06-30 3,928 5,144 3,763 1,326.193 1,289 2,750
2015-06-30 3,200.184 5,039.484 4,052.547 31.893 1,415.962 2,750
2016-06-30 2,553.738 4,877.682 5,097.864 1,588.192 1,555.392 750
2016-12-31 11,562.652 15,036.022 1,961.563 23.021
2017-06-30 11,562.652 15,036.022 1,961.563 23.021 8,908.55 19,223.724
2018-06-30 6,609.297 10,006.788 3,116.32 90.956 0 19,468.728
2019-06-30 4,972.136 26,039.551 4,600.941 87.154 27.62 39,650.533
2020-06-30 1,471.918 23,691.535 8,516.413 1,496.274 187.46 40,088.785
2021-06-30 9,872.524 35,585.377 9,701.288 663.556 1,516.463 56,133.457
2022-06-30 4,684 18,638 7,483 526 66 56,133
2023-06-30 192 11,132 8,382 233 74 56,133

Cash flow highlights

All numbers are in thousands

Date Net Income Total Cash Change in Cash Begin period cash End period cash Dividends
2014-06-30 -553.647 120 3,783.707
2015-06-30 -395.165 -581.58 -727.96
2016-06-30 -1,181.662 -560.86 -646.45
2017-06-30 -4,697.428 -4,706.24 2,624.023 5,177.761
2018-06-30 -5,120.083 -5,085.832 1,431.536 5,177.761 6,609.297
2019-06-30 -6,170.821 -5,837.29 -1,637.161 6,609.297 4,972.136
2020-06-30 -6,785.76 -3,458.483 -3,500.218 4,972.136 1,471.918
2021-06-30 -4,320.093 -6,112.832 8,400.606 1,471.918 9,872.524 -1,800.189
2022-06-30 -14,939 -13,966 -5,189 9,873 4,684
2023-06-30 -9,380 -1,108 225 2,188 2,413