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MARKETS / NASDAQ / GMM
NASDAQ · SERVICES-COMPUTER PROGRAMMING, DATA PROCESSING, ETC. · SMALL CAP

Global Mofy AI Ltd. GMM

5 fiscal years on record · USD · FY2025 reported · SEC filings only
$55.9M
▲ 35.3% YoY
$-19.3M
▼ 259.0% YoY
$22.1M
▲ 22.1% YoY
In brief

What this company does

We are an AI-Driven technology solutions provider engaged in virtual content production, and digital assets development for the digital content industry. As of the date of this report, our digital asset bank has more than 150,000 high precision 3D digital assets. We primarily operate in two lines of business (i) virtual technology service and (ii) digital asset development and others. We provide comprehensive technology solution to assist customers in virtual content production, which can be used in a variety of settings such as movies, television series, animations, advertising and gaming, etc. For the year ended September 30, 2025, our revenues were $55.94 million of which approximately 59% and 41% were generated from our two lines of business, virtual technology service and digital assets development and others, respectively.

Written from the business description in Global Mofy AI Ltd's annual report to the U.S. Securities and Exchange Commission, filed 9 January 2026. Every sentence was checked against that document before publication.

Growth
USD 55.9M
Revenue, FY2025 · full 5-year series below
Revenue $M Net income $M
FY2025 · Revenue 55.9 · Net income -19.3
20M40M-8M-16M20212022202320242025
Compound annual growth
+48.2%
3 yrs
5 yrs
10 yrs
15 yrs

Compound annual rates per period — left blank where that exact year isn't on file, the series crosses a loss, or (per-share rows) a split falls inside the window.

Profitability
−35 cents
lost on every revenue dollar
Operating margin Net margin
FY2025 · Operating 5.4% · Net -34.5%
10%20%-10%-20%-30%20212022202320242025
ROE
FY2025 · ROE -35.8%
20%40%-10%-20%-30%20212022202320242025

Each USD of equity lost 36 cents this year.

Cash & shareholders
returned in FY2025 · dividends + net buybacks
Free cash flow $M
FY2025 · FCF 22.1
8M16M20212022202320242025

Total assetsUSD 78.0M
EquityUSD 62.1M
CashUSD 4.2M
Gross debtUSD 3.4M
Net debtUSD -807,655.00
Current ratio1.10×

The company holds more cash than debt.

The 5-year record
5 fiscal years
Every figure from documents filed with the SEC · USD

EPS, diluted, dividend per share and shares outstanding are shown without shading, and a vertical line marks the year the share count changed — the series crosses a large, unexplained change in share count, so the years on either side are not on a comparable scale.

row low → row highnegative
Metric 20252024202320222021
Revenue $B0.10.00.00.00.0
Operating income $B0.00.00.0−0.00.0
EBITDA $B·0.00.0−0.00.0
Income tax $B0.00.00.0·0.0
Net income $B−0.00.00.0−0.00.0
Free cash flow $B0.00.00.0−0.0−0.0
EPS, diluted $··0.29−0.010.06
Dividend / sh $·····
Payout %·····
ROE %−35.836.452.7−6.9·
Shares out B··0.030.020.00

Slide the table for earlier years · "·" marks a figure not available in our data for that year.

Provenance
Company facts, as filed
How we verify · 0 failures in 21 reconciliationsAUDITED

Reconciled in 5 of 19 fiscal years. 74 checks could not be computed.

EPS recomputationBalance-sheet identityGross profitBalance-sheet liquiditymoeda_consistente0 failures
ActivityServices-Computer Programming, Data Processing, Etc.
Listed onNASDAQ
Incorporated inoutside the United States — SEC code E9
Fiscal year endsSeptember 30
SEC categoryemerging growth company
Data on record since2021

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