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GSV

GSVI
28
Oil & Gas Exploration & Production · Energy
Price
$0.00
+0.00 (+0.00%)
Market Cap
$753
Winston Score
28
Winston is worried
Below-average fundamentals — multiple weak pillars.

GSV, Inc. (ticker: GSVI) is a small oil and gas exploration and production company. It searches for and extracts petroleum resources, selling crude oil and natural gas to energy buyers and commodity markets. The company operates in the broader energy sector, where it competes alongside many other independent E&P firms.

GSV generates revenue by selling the oil and gas it produces, with pricing tied directly to commodity markets. It appears to operate on a small scale, reflected in its near-zero reported market capitalization. Like all small E&P companies, it lacks the diversification and financial cushion of larger integrated energy firms, making it more vulnerable to swings in oil and gas prices. The main risk the business faces is commodity price volatility — when oil and gas prices fall, revenue and margins can drop sharply, and a company this size has limited ability to absorb those shocks.

Winston Score History

Growth Profile

When traditional metrics don't capture the full picture, these are the signals growth stock investors use instead.

Revenue Growth

-99.1% YoY

YoY Growth Rate

Revenue declining

EPS Growth

-133.3% YoY

YoY Growth Rate

Earnings declining

R&D Spend

$0/ year

0.0% of revenue

Below sector average (1%)

Research and development spending

Insider Activity

71.4%ownership

Flat

Insiders holding steady — not selling despite ability to

Cash Runway

~3 months

$108,879 cash & investments

Quarterly Free Cash Flow

→ Burn rate stable

Short runway — potential dilution ahead through share issuance

Cash watch

GSV has less than a year of cash at its current burn rate. Growth investors should watch for potential share dilution from future fundraising — that directly reduces your ownership.

The Winston Score above measures business quality today. Growth stocks often score lower because they invest in the future rather than maximising current profits. These metrics show what matters most for evaluating that future.

Share count broadly stable

+1.0% over 4y

The share count has stayed roughly flat over this period — little dilution or buyback activity.

Diluted shares outstanding: 7.4M (2004) → 7.5M (2008)

Score breakdown

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Quality

Gross Margin
100.0%
Premium pricing power — 100.0% gross margin
Operating Margin
-2065.6%
Losing money on operations — -2065.6%
ROCE
-153.2%
Weak — -153.2% return on capital

Negative ROIC means the business is losing money on every dollar invested in it.

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Growth

Sales YoY
-51.6%
Shrinking sales (-51.6% YoY)
EPS YoY
-786.9%
Earnings shrinking (-786.9% YoY)

Earnings per share down more than 10%. Either a bad year, or a real decline.

EPS Consistency
2/8 quarters
Earnings rarely grow — volatile business

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Cash Flow

Cash Conversion
N/A
Data not available
FCF Margin
-32.5%
Burning cash (-32.5%)

Free cash flow is negative. They are burning cash, not generating it.

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Stability

Debt / Equity
N/A
Data not available
Interest Cover
246.84x
Comfortably covers interest (246.8x)

Interest coverage above 8. Profits cover interest many times over.

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Valuation

P/E Ratio (TTM)
N/M
Negative earnings — P/E not meaningful
P/E vs Forward
N/A
not available
Data not available

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Dividends

Not applicable for this business.
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