GOGL logo

CORGI GOOGL 2X DAILY ETF

GOGLCBOE BZX
πŸ† #2163 by market capUS Equity
$23.50β–Ό $0.49 (βˆ’2.08%)
After hours Β· at close
πŸ””
Track GOGL
Get earnings, price moves & breaking news on Telegram
Track
24hβ–Ό 2.1%
7dβ–Ό 2.1%
14dβ–Ό 2.1%
30dβ–Ό 2.1%
ytdβ–² 194.9%
1yβ–² 194.9%
🏦Market Cap
$4.69B
Small Cap
πŸ“ˆRevenue Growth (YoY)
-7.7%
Declining
πŸ“ŠGross Margin
42.5%
Healthy
πŸ’΅FCF Margin
30.6%
Strong
βš–οΈP/S Ratio
1.8x
Cheap
Otter Score
80
Good

Trading Snapshot

Day Range
$23.22 – $23.90
52-Week Range
$20.67 – $30.06
Volume
$3.26B
Avg Volume
$3.31B
Shares Outstanding
199.4M
Next Earnings
Oct 26, 2026

Fundamentals Snapshot

Annual Revenue
$864M
Last Q Revenue
$199M
P/E Ratio
14.0
P/S Ratio
1.8x
EPS (TTM)
$0.57
Dividend Yield
13.19%

Why Investors Own GOGL

  • βœ“High-growth profile β€” revenue up +6.7% YoY with expanding US Equity exposure.
  • βœ“Healthy economics β€” 49% gross margin and 19% free-cash-flow margin.
  • βœ“New products and segments could unlock additional revenue streams.
⚠️ Key Risks

Execution delays, intensifying competition, and valuation compression if growth decelerates.

GOGL logo

CORGI GOOGL 2X DAILY ETF

GOGL
Financial Trends
Revenue (TTM)The total money the company brought in from sales, before subtracting any costs.
$864Mβ–² +6.2% YoY
Gross Margin (TTM)Of every $1 of sales, how much is left after the direct cost of making the product/service. Higher = more efficient.
48.5%β–² +4.2% YoY
Operating Income (TTM)Profit from the core business after operating costs, but before interest and taxes. Negative means the core business isn’t profitable yet.
$236Mβ–² +6.2% YoY
Free Cash Flow (TTM)Cash left over after running the business and paying for equipment/capex. Negative means the company is burning cash.
$163Mβ–² +6.2% YoY
StockOtter Β· stockotter.space

About CORGI GOOGL 2X DAILY ETF

Under normal circumstances, the fund will invest at least 80% of the value of its net assets, plus any borrowings for investment purposes, in financial instruments (for example, swaps and futures) that, in the aggregate, provide leveraged exposure to the Underlying Security equal to approximately two times its daily performance. It is non-diversified.

🦦

Otter Score Breakdown

How it's scoredFive components, each rated 1–5β˜… and equally weighted (20%), averaged to a 0–100 score:πŸ’Ž Quality β€” gross marginπŸš€ Growth β€” revenue YoYβš–οΈ Valuation β€” P/S ratio⚑ Momentum β€” 30-day price changeπŸ’§ Dilution β€” 1-yr share issuance (buybacks score higher)
πŸ’ŽQualityβ˜…β˜…β˜…β˜…β˜…
πŸš€Growthβ˜…β˜…β˜…β˜…β˜…
βš–οΈValuationβ˜…β˜…β˜…β˜…β˜…
⚑Momentumβ˜…β˜…β˜…β˜…β˜…
πŸ’§Dilutionβ˜…β˜…β˜…β˜…β˜…
Overall Score
Good
80/100

Analyst Ratings

β“˜
Consensus
Buy
11 analysts
Strong Buy3
Buy3
Hold5
Sell0
Strong Sell0
Ratings as of Aug 2025

Latest News & Updates