Symbols / VINO $2.00 +0.00% Gaucho Group Holdings, Inc.

Real Estate • Real Estate - Diversified • United States • PNK
VINO Chart
O: — H: — L: — C: — V: —
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About

Gaucho Group Holdings, Inc., through its subsidiaries, engages in the investment, development, management, and operation of real estate projects in Argentina. Its development projects include residential vineyard lots. The company also owns and operates boutique hotels, hospitality, and luxury vineyard property market; golf, tennis, and wellness resorts; as well as restaurant; and engages in production and sale of wine. In addition, it manufactures and sells leather goods, ready-to-wear, home décor, fashion products, and home accessories through e-commerce platforms. The company was formerly known as Algodon Group, Inc. and changed its name to Gaucho Group Holdings, Inc. in March 2019. Gaucho Group Holdings, Inc. was incorporated in 1999 and is based in Miami, Florida.

Stock Fundamentals
Scroll to Statements
Market Cap 1.89M Enterprise Value 7.97M Income -14.76M Sales 1.97M Book/sh -0.56 Cash/sh 0.23
Dividend Yield Payout 0.00% Employees 80 IPO P/E Forward P/E
PEG P/S 0.96 P/B -3.57 P/C EV/EBITDA -0.67 EV/Sales 4.06
Quick Ratio 0.12 Current Ratio 0.47 Debt/Eq 92.69 LT Debt/Eq EPS (ttm) -131.80 EPS next Y
EPS Growth Revenue Growth -8.90% Earnings ROA -47.13% ROE -264.58% ROIC
Gross Margin 23.40% Oper. Margin -5.48% Profit Margin 0.00% Shs Outstand 945.12K Shs Float 919.95K Short Float 3.75%
Short Ratio 1.41 Short Interest 52W High 2.00 52W Low 0.01 Beta 1.26 Avg Volume 267.00
Volume 15.00 Target Price Recom None Prev Close $2.00 Price $2.00 Change 0.00%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
Mean price target
2. Current target
$2.00
Latest analyst target
3. DCF / Fair value
$-77.08
Simplified: (Free Cash Flow ÷ Shares) × 18 (P/FCF multiple). Not a …
Ratings
Current target
$2.00
Low
High
Mean
Insider Transactions
Filed Date Insider Relationship Transaction Shares Price Value SEC
2024-10-01 DUMONT MARC Director 7,500 $5.00 $37,500
2024-10-01 LAWRENCE PETER JESSEL LEVAY Director 7,500 $5.00 $37,500
2024-10-01 CANNON REUBEN Director 7,500 $5.00 $37,500
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 2023-12-31 2022-12-31 2021-12-31
Total Revenue
2.15
+30.86%
1.64
-66.56%
4.92
Operating Revenue
2.15
+30.86%
1.64
-66.56%
4.92
Cost Of Revenue
1.62
+9.49%
1.48
+21.80%
1.21
Reconciled Cost Of Revenue
1.57
+6.18%
1.48
+21.80%
1.21
Gross Profit
0.53
+218.89%
0.17
-95.47%
3.70
Operating Expense
11.36
+26.94%
8.95
+46.36%
6.12
Selling General And Administration
10.96
+25.98%
8.70
+45.71%
5.97
Selling And Marketing Expense
0.96
+30.09%
0.74
+27.12%
0.58
General And Administrative Expense
10.00
+25.60%
7.96
+47.71%
5.39
Other Gand A
10.00
+25.60%
7.96
+47.71%
5.39
Total Expenses
12.98
+24.47%
10.43
+42.29%
7.33
Operating Income
-10.83
-23.27%
-8.78
-264.05%
-2.41
Total Operating Income As Reported
-10.83
+31.40%
-15.78
-554.17%
-2.41
EBITDA
-12.26
+38.34%
-19.88
-963.79%
-1.87
Normalized EBITDA
-9.94
-22.90%
-8.09
-289.26%
-2.08
Reconciled Depreciation
0.45
+79.38%
0.25
+72.97%
0.15
EBIT
-12.71
+36.86%
-20.13
-899.38%
-2.01
Total Unusual Items
-2.32
+80.35%
-11.79
-5731.47%
0.21
Total Unusual Items Excluding Goodwill
-2.32
+80.35%
-11.79
-5731.47%
0.21
Special Income Charges
-0.42
+96.61%
-12.27
-5159.44%
0.24
Other Special Charges
0.42
-92.10%
5.27
+2272.68%
-0.24
Write Off
0.00
-100.00%
7.00
0.00
Net Income
-16.20
+25.54%
-21.75
-892.52%
-2.19
Pretax Income
-16.20
+25.78%
-21.83
-813.57%
-2.39
Net Non Operating Interest Income Expense
-3.42
-120.15%
-1.55
-345.77%
-0.35
Interest Expense Non Operating
3.49
+105.85%
1.69
+352.24%
0.37
Net Interest Income
-3.42
-120.15%
-1.55
-345.77%
-0.35
Interest Expense
3.49
+105.85%
1.69
+352.24%
0.37
Interest Income Non Operating
0.07
-49.58%
0.14
+436.90%
0.03
Interest Income
0.07
-49.58%
0.14
+436.90%
0.03
Other Income Expense
-1.95
+82.99%
-11.49
-3189.87%
0.37
Other Non Operating Income Expenses
0.36
+20.74%
0.30
+84.62%
0.16
Gain On Sale Of Security
-1.90
-497.12%
0.48
+1544.40%
-0.03
Tax Rate For Calcs
0.00
0.00
0.00
Tax Effect Of Unusual Items
0.00
0.00
0.00
Net Income Including Noncontrolling Interests
-16.20
+25.78%
-21.83
-813.57%
-2.39
Net Income From Continuing Operation Net Minority Interest
-16.20
+25.54%
-21.75
-892.52%
-2.19
Net Income From Continuing And Discontinued Operation
-16.20
+25.54%
-21.75
-892.52%
-2.19
Net Income Continuous Operations
-16.20
+25.78%
-21.83
-813.57%
-2.39
Minority Interests
0.00
-100.00%
0.07
-63.38%
0.20
Normalized Income
-13.88
-39.33%
-9.96
-314.95%
-2.40
Net Income Common Stockholders
-16.20
+25.54%
-21.75
-892.52%
-2.19
Diluted EPS
-130.60
+89.40%
-1,232.60
-4411.32%
-27.32
Basic EPS
-130.60
+89.40%
-1,232.60
-4411.32%
-27.32
Basic Average Shares
0.12
+602.70%
0.02
-78.00%
0.08
Diluted Average Shares
0.12
+602.70%
0.02
-78.00%
0.08
Diluted NI Availto Com Stockholders
-16.20
+25.54%
-21.75
-892.52%
-2.19
Depreciation Amortization Depletion Income Statement
0.40
+59.98%
0.25
+72.97%
0.15
Depreciation And Amortization In Income Statement
0.40
+59.98%
0.25
+72.97%
0.15
Line Item Trend 2023-12-31 2022-12-31 2021-12-31
Total Assets
16.56
-11.41%
18.69
-23.12%
24.31
Current Assets
4.30
-14.38%
5.02
-34.74%
7.69
Cash Cash Equivalents And Short Term Investments
0.43
+42.57%
0.30
-91.77%
3.65
Cash And Cash Equivalents
0.43
+42.57%
0.30
-91.77%
3.65
Cash Financial
0.43
+42.57%
0.30
-91.77%
3.65
Other Short Term Investments
0.00
Receivables
0.72
-60.37%
1.81
+14.04%
1.59
Accounts Receivable
0.72
-60.37%
1.81
+14.04%
1.59
Gross Accounts Receivable
2.61
+17.83%
2.22
+12.59%
1.97
Allowance For Doubtful Accounts Receivable
-1.89
-365.19%
-0.41
-6.56%
-0.38
Inventory
2.65
+8.13%
2.45
+20.40%
2.03
Work In Process
1.34
+1.62%
1.31
+15.68%
1.14
Finished Goods
0.65
+8.83%
0.60
+3.95%
0.58
Prepaid Assets
0.16
0.00
-100.00%
0.71
Other Current Assets
0.34
-25.66%
0.46
+9.36%
0.42
Total Non Current Assets
12.26
-10.32%
13.67
-17.74%
16.62
Net PPE
1.22
-15.94%
1.45
-13.06%
1.67
Gross PPE
1.22
-15.94%
1.45
-13.06%
1.67
Other Properties
1.22
-15.94%
1.45
-13.06%
1.67
Goodwill And Other Intangible Assets
0.10
+40.64%
0.07
0.00
Other Intangible Assets
0.07
Investments And Advances
0.00
-100.00%
7.00
Long Term Equity Investment
0.00
-100.00%
7.00
Non Current Accounts Receivable
1.85
-43.56%
3.28
+8.30%
3.03
Non Current Deferred Assets
0.00
Non Current Prepaid Assets
1.29
+2.79%
1.26
+9.01%
1.15
Total Liabilities Net Minority Interest
10.86
+37.50%
7.90
-22.70%
10.22
Current Liabilities
9.66
+118.38%
4.42
-47.84%
8.48
Payables And Accrued Expenses
4.65
+79.90%
2.58
+75.28%
1.47
Payables
2.81
+21.78%
2.31
+142.46%
0.95
Accounts Payable
0.93
+0.89%
0.92
+80.66%
0.51
Current Accrued Expenses
1.83
+574.54%
0.27
-47.80%
0.52
Pensionand Other Post Retirement Benefit Plans Current
0.65
+201.01%
0.22
Total Tax Payable
1.89
+35.53%
1.39
+212.92%
0.45
Current Debt And Capital Lease Obligation
1.76
+378.94%
0.37
-94.01%
6.13
Current Debt
1.51
+816.50%
0.16
-97.24%
5.96
Other Current Borrowings
1.51
+816.50%
0.16
-97.23%
5.95
Current Capital Lease Obligation
0.25
+23.64%
0.20
+15.66%
0.18
Current Deferred Liabilities
1.72
+25.32%
1.37
+92.53%
0.71
Current Deferred Revenue
1.72
+25.32%
1.37
+92.53%
0.71
Other Current Liabilities
1.53
+1428.87%
0.10
-37.52%
0.16
Total Non Current Liabilities Net Minority Interest
1.20
-65.39%
3.48
+99.80%
1.74
Long Term Debt And Capital Lease Obligation
1.17
-65.76%
3.41
+109.92%
1.63
Long Term Debt
0.09
-95.66%
2.08
+2116.09%
0.09
Long Term Capital Lease Obligation
1.08
-18.87%
1.33
-13.24%
1.53
Tradeand Other Payables Non Current
0.03
-54.55%
0.07
-42.77%
0.12
Other Non Current Liabilities
-0.00
-200.00%
0.00
Stockholders Equity
5.70
-47.22%
10.79
-24.33%
14.26
Common Stock Equity
5.70
-47.22%
10.79
-24.33%
14.26
Capital Stock
0.05
+1215.79%
0.00
-55.63%
0.01
Common Stock
0.05
+1215.79%
0.00
-55.63%
0.01
Preferred Stock
0.00
0.00
0.00
Share Issued
0.48
+1216.05%
0.04
+343.68%
0.01
Ordinary Shares Number
0.48
+1216.12%
0.04
+343.77%
0.01
Treasury Shares Number
0.00
+0.00%
0.00
+0.00%
0.00
Additional Paid In Capital
150.59
+8.21%
139.16
+14.41%
121.63
Retained Earnings
-133.79
-13.88%
-117.48
-22.72%
-95.73
Gains Losses Not Affecting Retained Earnings
-11.10
-2.42%
-10.84
+6.59%
-11.61
Treasury Stock
0.05
+0.00%
0.05
+0.00%
0.05
Minority Interest
0.00
+100.00%
-0.17
Other Equity Adjustments
-11.10
-2.42%
-10.84
+6.59%
-11.61
Total Equity Gross Minority Interest
5.70
-47.22%
10.79
-23.42%
14.09
Total Capitalization
5.79
-55.06%
12.87
-10.32%
14.36
Working Capital
-5.36
-1001.30%
0.60
+175.30%
-0.79
Invested Capital
7.30
-44.05%
13.04
-35.81%
20.31
Total Debt
2.93
-22.52%
3.78
-51.30%
7.76
Net Debt
1.17
-39.85%
1.95
-18.96%
2.40
Capital Lease Obligations
1.33
-13.24%
1.53
-10.27%
1.71
Net Tangible Assets
5.60
-47.79%
10.72
-24.82%
14.26
Tangible Book Value
5.60
-47.79%
10.72
-24.82%
14.26
Current Notes Payable
0.00
-100.00%
0.01
Interest Payable
0.13
+66.24%
0.08
+1.97%
0.08
Inventories Adjustments Allowances
-0.19
-85.37%
-0.10
Investment Properties
7.81
+2.43%
7.62
+101.78%
3.78
Investmentsin Associatesat Cost
7.00
Non Current Accrued Expenses
0.01
0.00
-100.00%
0.12
Other Inventories
0.85
+33.18%
0.64
+98.25%
0.32
Line Item Trend 2023-12-31 2022-12-31 2021-12-31
Operating Cash Flow
-6.08
-6.58%
-5.70
+16.30%
-6.81
Cash Flow From Continuing Operating Activities
-6.08
-6.58%
-5.70
+16.30%
-6.81
Net Income From Continuing Operations
-16.20
+25.78%
-21.83
-813.57%
-2.39
Depreciation Amortization Depletion
0.45
+79.38%
0.25
+72.97%
0.15
Depreciation
0.43
+74.11%
0.25
Amortization Cash Flow
0.02
+349.71%
0.00
Depreciation And Amortization
0.45
+79.38%
0.25
+72.97%
0.15
Amortization Of Intangibles
0.02
+349.71%
0.00
Other Non Cash Items
2.88
-36.74%
4.55
+1055.91%
0.39
Stock Based Compensation
0.74
-47.56%
1.41
+111.87%
0.66
Provisionand Write Offof Assets
2.35
+987.59%
0.22
+18.11%
0.18
Asset Impairment Charge
0.00
-100.00%
7.00
0.00
Operating Gains Losses
2.32
+42.40%
1.63
+876.96%
-0.21
Gain Loss On Investment Securities
2.51
Unrealized Gain Loss On Investment Securities
0.00
-100.00%
0.00
Net Foreign Currency Exchange Gain Loss
-0.61
-26.55%
-0.48
-1544.40%
0.03
Gain Loss On Sale Of PPE
0.00
Change In Working Capital
1.38
+29.29%
1.07
+119.10%
-5.60
Change In Receivables
-0.05
+91.81%
-0.61
+86.02%
-4.35
Changes In Account Receivables
-0.61
+86.02%
-4.35
Change In Inventory
-0.45
+15.82%
-0.53
-428.20%
0.16
Change In Prepaid Assets
0.10
+244.03%
-0.07
+87.58%
-0.58
Change In Payables And Accrued Expense
1.47
-20.80%
1.86
+488.56%
-0.48
Change In Other Working Capital
0.35
-46.82%
0.65
+396.95%
-0.22
Change In Other Current Liabilities
-0.05
+79.48%
-0.24
-85.77%
-0.13
Investing Cash Flow
-0.67
+66.23%
-1.97
+77.97%
-8.95
Cash Flow From Continuing Investing Activities
-0.67
+66.23%
-1.97
+77.97%
-8.95
Net PPE Purchase And Sale
-0.62
+68.08%
-1.93
+0.89%
-1.95
Purchase Of PPE
-0.62
+68.08%
-1.93
+0.89%
-1.95
Capital Expenditure
-0.67
+66.10%
-1.96
-0.91%
-1.95
Net Investment Purchase And Sale
0.00
+100.00%
-7.00
Purchase Of Investment
0.00
+100.00%
-7.00
Net Business Purchase And Sale
0.00
+100.00%
-0.01
0.00
Purchase Of Business
0.00
+100.00%
-0.01
0.00
Net Intangibles Purchase And Sale
-0.05
-42.86%
-0.03
0.00
Purchase Of Intangibles
-0.05
-42.86%
-0.03
0.00
Financing Cash Flow
7.13
+100.49%
3.56
-81.23%
18.94
Cash Flow From Continuing Financing Activities
7.13
+100.49%
3.56
-81.23%
18.94
Net Issuance Payments Of Debt
4.22
+38.99%
3.04
-46.89%
5.71
Issuance Of Debt
5.18
+64.13%
3.16
-47.35%
6.00
Repayment Of Debt
-0.97
-680.82%
-0.12
+56.58%
-0.29
Long Term Debt Issuance
5.18
+262.21%
1.43
-76.14%
6.00
Long Term Debt Payments
-0.97
-680.82%
-0.12
+56.58%
-0.29
Net Long Term Debt Issuance
4.22
+222.59%
1.31
-77.12%
5.71
Short Term Debt Issuance
0.00
-100.00%
1.73
0.00
Net Short Term Debt Issuance
0.00
-100.00%
1.73
0.00
Net Common Stock Issuance
2.87
+406.30%
0.57
-95.59%
12.83
Repurchase Of Capital Stock
0.00
Proceeds From Stock Option Exercised
0.00
-100.00%
1.65
Net Other Financing Charges
0.05
+205.78%
-0.04
+96.44%
-1.25
Changes In Cash
0.39
+109.48%
-4.11
-228.98%
3.19
Effect Of Exchange Rate Changes
-0.26
-134.27%
0.76
+135.17%
0.33
Beginning Cash Position
0.30
-91.77%
3.65
+2612.59%
0.13
End Cash Position
0.43
+42.57%
0.30
-91.77%
3.65
Free Cash Flow
-6.74
+12.04%
-7.66
+12.47%
-8.76
Interest Paid Supplemental Data
0.32
+50.00%
0.22
-55.90%
0.49
Income Tax Paid Supplemental Data
0.00
0.00
-100.00%
0.07
Common Stock Issuance
2.87
+406.30%
0.57
-95.59%
12.83
Issuance Of Capital Stock
2.87
+406.30%
0.57
-95.59%
12.83
Net Preferred Stock Issuance
0.00
Preferred Stock Payments
0.00
SEC Filings

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