{"ticker":"GPATU","downloaded_at":"2026-08-20","balance_sheet":{"2026-03-31":{"Ordinary Shares Number":28750000.0,"Share Issued":28750000.0,"Net Debt":395572.0,"Total Debt":515000.0,"Tangible Book Value":296849588.0,"Invested Capital":297364588.0,"Working Capital":-1011780.0,"Net Tangible Assets":296849588.0,"Common Stock Equity":296849588.0,"Total Capitalization":296849588.0,"Total Equity Gross Minority Interest":296849588.0,"Stockholders Equity":296849588.0,"Retained Earnings":-15049999.0,"Additional Paid In Capital":0.0,"Capital Stock":311899587.0,"Common Stock":311899587.0,"Preferred Stock":0.0,"Total Liabilities Net Minority Interest":15255795.0,"Total Non Current Liabilities Net Minority Interest":14037500.0,"Tradeand Other Payables Non Current":13687500.0,"Non Current Deferred Liabilities":350000.0,"Current Liabilities":1218295.0,"Current Deferred Liabilities":1313.0,"Current Debt And Capital Lease Obligation":515000.0,"Current Debt":515000.0,"Other Current Borrowings":515000.0,"Current Notes Payable":null,"Payables And Accrued Expenses":701982.0,"Current Accrued Expenses":701982.0,"Total Assets":312105383.0,"Total Non Current Assets":311898868.0,"Other Non Current Assets":311898868.0,"Non Current Prepaid Assets":null,"Non Current Deferred Assets":null,"Current Assets":206515.0,"Prepaid Assets":81833.0,"Receivables":5254.0,"Duefrom Related Parties Current":5254.0,"Cash Cash Equivalents And Short Term Investments":119428.0,"Cash And Cash Equivalents":119428.0,"Cash Financial":119428.0},"2025-12-31":{"Ordinary Shares Number":35937500.0,"Share Issued":35937500.0,"Net Debt":287340.0,"Total Debt":400000.0,"Tangible Book Value":294696210.0,"Invested Capital":295096210.0,"Working Capital":-446501.0,"Net Tangible Assets":294696210.0,"Common Stock Equity":294696210.0,"Total Capitalization":294696210.0,"Total Equity Gross Minority Interest":294696210.0,"Stockholders Equity":294696210.0,"Retained Earnings":-14484720.0,"Additional Paid In Capital":0.0,"Capital Stock":309180930.0,"Common Stock":309180930.0,"Preferred Stock":0.0,"Total Liabilities Net Minority Interest":14672112.0,"Total Non Current Liabilities Net Minority Interest":14037500.0,"Tradeand Other Payables Non Current":13687500.0,"Non Current Deferred Liabilities":350000.0,"Current Liabilities":634612.0,"Current Deferred Liabilities":1313.0,"Current Debt And Capital Lease Obligation":400000.0,"Current Debt":400000.0,"Other Current Borrowings":400000.0,"Current Notes Payable":null,"Payables And Accrued Expenses":233299.0,"Current Accrued Expenses":233299.0,"Total Assets":309368322.0,"Total Non Current Assets":309180211.0,"Other Non Current Assets":309180211.0,"Non Current Prepaid Assets":0.0,"Non Current Deferred Assets":null,"Current Assets":188111.0,"Prepaid Assets":70197.0,"Receivables":5254.0,"Duefrom Related Parties Current":5254.0,"Cash Cash Equivalents And Short Term Investments":112660.0,"Cash And Cash Equivalents":112660.0,"Cash Financial":112660.0},"2025-09-30":{"Ordinary Shares Number":35937500.0,"Share Issued":35937500.0,"Net Debt":254547.0,"Total Debt":400000.0,"Tangible Book Value":291802481.0,"Invested Capital":292202481.0,"Working Capital":-362297.0,"Net Tangible Assets":291802481.0,"Common Stock Equity":291802481.0,"Total Capitalization":291802481.0,"Total Equity Gross Minority Interest":291802481.0,"Stockholders Equity":291802481.0,"Retained Earnings":-14400516.0,"Additional Paid In Capital":0.0,"Capital Stock":306202997.0,"Common Stock":306202997.0,"Preferred Stock":0.0,"Total Liabilities Net Minority Interest":14693701.0,"Total Non Current Liabilities Net Minority Interest":14037500.0,"Tradeand Other Payables Non Current":13687500.0,"Non Current Deferred Liabilities":350000.0,"Current Liabilities":656201.0,"Current Deferred Liabilities":44938.0,"Current Debt And Capital Lease Obligation":400000.0,"Current Debt":400000.0,"Other Current Borrowings":400000.0,"Current Notes Payable":null,"Payables And Accrued Expenses":211263.0,"Current Accrued Expenses":211263.0,"Total Assets":306496182.0,"Total Non Current Assets":306202278.0,"Other Non Current Assets":306202278.0,"Non Current Prepaid Assets":0.0,"Non Current Deferred Assets":null,"Current Assets":293904.0,"Prepaid Assets":143197.0,"Receivables":5254.0,"Duefrom Related Parties Current":5254.0,"Cash Cash Equivalents And Short Term Investments":145453.0,"Cash And Cash Equivalents":145453.0,"Cash Financial":145453.0},"2025-06-30":{"Ordinary Shares Number":35937500.0,"Share Issued":35937500.0,"Net Debt":153686.0,"Total Debt":400000.0,"Tangible Book Value":288696622.0,"Invested Capital":289096622.0,"Working Capital":-235969.0,"Net Tangible Assets":288696622.0,"Common Stock Equity":288696622.0,"Total Capitalization":288696622.0,"Total Equity Gross Minority Interest":288696622.0,"Stockholders Equity":288696622.0,"Retained Earnings":-14274188.0,"Additional Paid In Capital":0.0,"Capital Stock":302970810.0,"Common Stock":302970810.0,"Preferred Stock":0.0,"Total Liabilities Net Minority Interest":14727259.0,"Total Non Current Liabilities Net Minority Interest":14037500.0,"Tradeand Other Payables Non Current":13687500.0,"Non Current Deferred Liabilities":350000.0,"Current Liabilities":689759.0,"Current Deferred Liabilities":44938.0,"Current Debt And Capital Lease Obligation":400000.0,"Current Debt":400000.0,"Other Current Borrowings":400000.0,"Current Notes Payable":400000.0,"Payables And Accrued Expenses":244821.0,"Current Accrued Expenses":244821.0,"Total Assets":303423881.0,"Total Non Current Assets":302970091.0,"Other Non Current Assets":302970091.0,"Non Current Prepaid Assets":0.0,"Non Current Deferred Assets":null,"Current Assets":453790.0,"Prepaid Assets":207476.0,"Receivables":null,"Duefrom Related Parties Current":null,"Cash Cash Equivalents And Short Term Investments":246314.0,"Cash And Cash Equivalents":246314.0,"Cash Financial":246314.0},"2025-03-31":{"Ordinary Shares Number":35937500.0,"Share Issued":35937500.0,"Net Debt":23428.0,"Total Debt":400000.0,"Tangible Book Value":285711884.0,"Invested Capital":286111884.0,"Working Capital":-110052.0,"Net Tangible Assets":285711884.0,"Common Stock Equity":285711884.0,"Total Capitalization":285711884.0,"Total Equity Gross Minority Interest":285711884.0,"Stockholders Equity":285711884.0,"Retained Earnings":-14132854.0,"Additional Paid In Capital":0.0,"Capital Stock":299844738.0,"Common Stock":299844738.0,"Preferred Stock":0.0,"Total Liabilities Net Minority Interest":14776019.0,"Total Non Current Liabilities Net Minority Interest":14037500.0,"Tradeand Other Payables Non Current":13687500.0,"Non Current Deferred Liabilities":350000.0,"Current Liabilities":738519.0,"Current Deferred Liabilities":44938.0,"Current Debt And Capital Lease Obligation":400000.0,"Current Debt":400000.0,"Other Current Borrowings":400000.0,"Current Notes Payable":null,"Payables And Accrued Expenses":293581.0,"Current Accrued Expenses":293581.0,"Total Assets":300487903.0,"Total Non Current Assets":299859436.0,"Other Non Current Assets":299844019.0,"Non Current Prepaid Assets":15417.0,"Non Current Deferred Assets":null,"Current Assets":628467.0,"Prepaid Assets":251895.0,"Receivables":null,"Duefrom Related Parties Current":null,"Cash Cash Equivalents And Short Term Investments":376572.0,"Cash And Cash Equivalents":376572.0,"Cash Financial":376572.0},"2024-12-31":{"Ordinary Shares Number":null,"Share Issued":null,"Net Debt":null,"Total Debt":null,"Tangible Book Value":null,"Invested Capital":null,"Working Capital":null,"Net Tangible Assets":null,"Common Stock Equity":null,"Total Capitalization":null,"Total Equity Gross Minority Interest":null,"Stockholders Equity":null,"Retained Earnings":null,"Additional Paid In Capital":null,"Capital Stock":null,"Common Stock":null,"Preferred Stock":null,"Total Liabilities Net Minority Interest":null,"Total Non Current Liabilities Net Minority Interest":null,"Tradeand Other Payables Non Current":null,"Non Current Deferred Liabilities":null,"Current Liabilities":null,"Current Deferred Liabilities":null,"Current Debt And Capital Lease Obligation":null,"Current Debt":null,"Other Current Borrowings":null,"Current Notes Payable":400000.0,"Payables And Accrued Expenses":null,"Current Accrued Expenses":null,"Total Assets":null,"Total Non Current Assets":null,"Other Non Current Assets":null,"Non Current Prepaid Assets":61667.0,"Non Current Deferred Assets":0.0,"Current Assets":null,"Prepaid Assets":null,"Receivables":0.0,"Duefrom Related Parties Current":0.0,"Cash Cash Equivalents And Short Term Investments":null,"Cash And Cash Equivalents":null,"Cash Financial":null}},"income_stmt":{"2026-03-31":{"Tax Effect Of Unusual Items":0.0,"Tax Rate For Calcs":0.4,"Normalized EBITDA":-565279.0,"Net Income From Continuing Operation Net Minority Interest":2153378.0,"EBITDA":-565279.0,"EBIT":-565279.0,"Net Interest Income":2718657.0,"Interest Income":2718657.0,"Normalized Income":2153378.0,"Net Income From Continuing And Discontinued Operation":2153378.0,"Total Expenses":565279.0,"Total Operating Income As Reported":-565279.0,"Diluted NI Availto Com Stockholders":2153378.0,"Net Income Common Stockholders":2153378.0,"Net Income":2153378.0,"Net Income Including Noncontrolling Interests":2153378.0,"Net Income Continuous Operations":2153378.0,"Pretax Income":2153378.0,"Net Non Operating Interest Income Expense":2718657.0,"Interest Income Non Operating":2718657.0,"Operating Income":-565279.0,"Operating Expense":565279.0,"Selling General And Administration":565279.0,"General And Administrative Expense":565279.0,"Other Gand A":565279.0,"Total Revenue":0.0,"Operating Revenue":0.0},"2025-12-31":{"Tax Effect Of Unusual Items":0.0,"Tax Rate For Calcs":0.21,"Normalized EBITDA":-84204.0,"Net Income From Continuing Operation Net Minority Interest":2893729.0,"EBITDA":-84204.0,"EBIT":-84204.0,"Net Interest Income":2977933.0,"Interest Income":2977933.0,"Normalized Income":2893729.0,"Net Income From Continuing And Discontinued Operation":2893729.0,"Total Expenses":84204.0,"Total Operating Income As Reported":-84204.0,"Diluted NI Availto Com Stockholders":2893729.0,"Net Income Common Stockholders":2893729.0,"Net Income":2893729.0,"Net Income Including Noncontrolling Interests":2893729.0,"Net Income Continuous Operations":2893729.0,"Pretax Income":2893729.0,"Net Non Operating Interest Income Expense":2977933.0,"Interest Income Non Operating":2977933.0,"Operating Income":-84204.0,"Operating Expense":84204.0,"Selling General And Administration":84204.0,"General And Administrative Expense":84204.0,"Other Gand A":84204.0,"Total Revenue":0.0,"Operating Revenue":0.0},"2025-09-30":{"Tax Effect Of Unusual Items":0.0,"Tax Rate For Calcs":0.21,"Normalized EBITDA":-126328.0,"Net Income From Continuing Operation Net Minority Interest":3105859.0,"EBITDA":-126328.0,"EBIT":-126328.0,"Net Interest Income":3232187.0,"Interest Income":3232187.0,"Normalized Income":3105859.0,"Net Income From Continuing And Discontinued Operation":3105859.0,"Total Expenses":126328.0,"Total Operating Income As Reported":-126328.0,"Diluted NI Availto Com Stockholders":3105859.0,"Net Income Common Stockholders":3105859.0,"Net Income":3105859.0,"Net Income Including Noncontrolling Interests":3105859.0,"Net Income Continuous Operations":3105859.0,"Pretax Income":3105859.0,"Net Non Operating Interest Income Expense":3232187.0,"Interest Income Non Operating":3232187.0,"Operating Income":-126328.0,"Operating Expense":126328.0,"Selling General And Administration":126328.0,"General And Administrative Expense":126328.0,"Other Gand A":126328.0,"Total Revenue":0.0,"Operating Revenue":0.0},"2025-06-30":{"Tax Effect Of Unusual Items":0.0,"Tax Rate For Calcs":0.21,"Normalized EBITDA":-141334.0,"Net Income From Continuing Operation Net Minority Interest":2984738.0,"EBITDA":-141334.0,"EBIT":-141334.0,"Net Interest Income":3126072.0,"Interest Income":3126072.0,"Normalized Income":2984738.0,"Net Income From Continuing And Discontinued Operation":2984738.0,"Total Expenses":141334.0,"Total Operating Income As Reported":-141334.0,"Diluted NI Availto Com Stockholders":2984738.0,"Net Income Common Stockholders":2984738.0,"Net Income":2984738.0,"Net Income Including Noncontrolling Interests":2984738.0,"Net Income Continuous Operations":2984738.0,"Pretax Income":2984738.0,"Net Non Operating Interest Income Expense":3126072.0,"Interest Income Non Operating":3126072.0,"Operating Income":-141334.0,"Operating Expense":141334.0,"Selling General And Administration":141334.0,"General And Administrative Expense":141334.0,"Other Gand A":141334.0,"Total Revenue":0.0,"Operating Revenue":0.0},"2025-03-31":{"Tax Effect Of Unusual Items":0.0,"Tax Rate For Calcs":0.21,"Normalized EBITDA":-200052.0,"Net Income From Continuing Operation Net Minority Interest":2907329.0,"EBITDA":-200052.0,"EBIT":-200052.0,"Net Interest Income":3107381.0,"Interest Income":3107381.0,"Normalized Income":2907329.0,"Net Income From Continuing And Discontinued Operation":2907329.0,"Total Expenses":200052.0,"Total Operating Income As Reported":-200052.0,"Diluted NI Availto Com Stockholders":2907329.0,"Net Income Common Stockholders":2907329.0,"Net Income":2907329.0,"Net Income Including Noncontrolling Interests":2907329.0,"Net Income Continuous Operations":2907329.0,"Pretax Income":2907329.0,"Net Non Operating Interest Income Expense":3107381.0,"Interest Income Non Operating":3107381.0,"Operating Income":-200052.0,"Operating Expense":200052.0,"Selling General And Administration":200052.0,"General And Administrative Expense":200052.0,"Other Gand A":200052.0,"Total Revenue":0.0,"Operating Revenue":0.0}},"cashflow":{"2026-03-31":{"Free Cash Flow":-108232.0,"Repayment Of Debt":null,"Issuance Of Debt":115000.0,"Issuance Of Capital Stock":null,"End Cash Position":119428.0,"Beginning Cash Position":112660.0,"Changes In Cash":6768.0,"Financing Cash Flow":115000.0,"Cash Flow From Continuing Financing Activities":115000.0,"Net Other Financing Charges":null,"Proceeds From Stock Option Exercised":null,"Net Common Stock Issuance":null,"Common Stock Issuance":null,"Net Issuance Payments Of Debt":115000.0,"Net Short Term Debt Issuance":115000.0,"Short Term Debt Payments":null,"Short Term Debt Issuance":115000.0,"Investing Cash Flow":null,"Cash Flow From Continuing Investing Activities":null,"Net Other Investing Changes":null,"Operating Cash Flow":-108232.0,"Cash Flow From Continuing Operating Activities":-108232.0,"Change In Working Capital":457047.0,"Change In Payables And Accrued Expense":468683.0,"Change In Accrued Expense":468683.0,"Change In Payable":null,"Change In Prepaid Assets":-11636.0,"Other Non Cash Items":-2718657.0,"Net Income From Continuing Operations":2153378.0},"2025-12-31":{"Free Cash Flow":10832.0,"Repayment Of Debt":0.0,"Issuance Of Debt":0.0,"Issuance Of Capital Stock":0.0,"End Cash Position":112660.0,"Beginning Cash Position":145453.0,"Changes In Cash":-32793.0,"Financing Cash Flow":-43625.0,"Cash Flow From Continuing Financing Activities":-43625.0,"Net Other Financing Charges":-43625.0,"Proceeds From Stock Option Exercised":0.0,"Net Common Stock Issuance":0.0,"Common Stock Issuance":0.0,"Net Issuance Payments Of Debt":0.0,"Net Short Term Debt Issuance":0.0,"Short Term Debt Payments":0.0,"Short Term Debt Issuance":0.0,"Investing Cash Flow":0.0,"Cash Flow From Continuing Investing Activities":0.0,"Net Other Investing Changes":null,"Operating Cash Flow":10832.0,"Cash Flow From Continuing Operating Activities":10832.0,"Change In Working Capital":95036.0,"Change In Payables And Accrued Expense":22036.0,"Change In Accrued Expense":22036.0,"Change In Payable":0.0,"Change In Prepaid Assets":73000.0,"Other Non Cash Items":-2977933.0,"Net Income From Continuing Operations":2893729.0},"2025-09-30":{"Free Cash Flow":-100861.0,"Repayment Of Debt":0.0,"Issuance Of Debt":0.0,"Issuance Of Capital Stock":0.0,"End Cash Position":145453.0,"Beginning Cash Position":246314.0,"Changes In Cash":-100861.0,"Financing Cash Flow":0.0,"Cash Flow From Continuing Financing Activities":0.0,"Net Other Financing Charges":0.0,"Proceeds From Stock Option Exercised":0.0,"Net Common Stock Issuance":0.0,"Common Stock Issuance":0.0,"Net Issuance Payments Of Debt":0.0,"Net Short Term Debt Issuance":0.0,"Short Term Debt Payments":0.0,"Short Term Debt Issuance":0.0,"Investing Cash Flow":0.0,"Cash Flow From Continuing Investing Activities":0.0,"Net Other Investing Changes":null,"Operating Cash Flow":-100861.0,"Cash Flow From Continuing Operating Activities":-100861.0,"Change In Working Capital":25467.0,"Change In Payables And Accrued Expense":-38812.0,"Change In Accrued Expense":-33558.0,"Change In Payable":null,"Change In Prepaid Assets":64279.0,"Other Non Cash Items":-3232187.0,"Net Income From Continuing Operations":3105859.0},"2025-06-30":{"Free Cash Flow":-130258.0,"Repayment Of Debt":null,"Issuance Of Debt":0.0,"Issuance Of Capital Stock":null,"End Cash Position":246314.0,"Beginning Cash Position":376572.0,"Changes In Cash":-130258.0,"Financing Cash Flow":0.0,"Cash Flow From Continuing Financing Activities":0.0,"Net Other Financing Charges":0.0,"Proceeds From Stock Option Exercised":null,"Net Common Stock Issuance":null,"Common Stock Issuance":null,"Net Issuance Payments Of Debt":0.0,"Net Short Term Debt Issuance":0.0,"Short Term Debt Payments":null,"Short Term Debt Issuance":0.0,"Investing Cash Flow":null,"Cash Flow From Continuing Investing Activities":null,"Net Other Investing Changes":null,"Operating Cash Flow":-130258.0,"Cash Flow From Continuing Operating Activities":-130258.0,"Change In Working Capital":11076.0,"Change In Payables And Accrued Expense":-48760.0,"Change In Accrued Expense":-48760.0,"Change In Payable":null,"Change In Prepaid Assets":59836.0,"Other Non Cash Items":-3126072.0,"Net Income From Continuing Operations":2984738.0},"2025-03-31":{"Free Cash Flow":-151938.0,"Repayment Of Debt":null,"Issuance Of Debt":0.0,"Issuance Of Capital Stock":null,"End Cash Position":376572.0,"Beginning Cash Position":483572.0,"Changes In Cash":-107000.0,"Financing Cash Flow":44938.0,"Cash Flow From Continuing Financing Activities":44938.0,"Net Other Financing Charges":44938.0,"Proceeds From Stock Option Exercised":null,"Net Common Stock Issuance":null,"Common Stock Issuance":null,"Net Issuance Payments Of Debt":0.0,"Net Short Term Debt Issuance":0.0,"Short Term Debt Payments":null,"Short Term Debt Issuance":0.0,"Investing Cash Flow":null,"Cash Flow From Continuing Investing Activities":null,"Net Other Investing Changes":null,"Operating Cash Flow":-151938.0,"Cash Flow From Continuing Operating Activities":-151938.0,"Change In Working Capital":48114.0,"Change In Payables And Accrued Expense":61976.0,"Change In Accrued Expense":61976.0,"Change In Payable":null,"Change In Prepaid Assets":-13862.0,"Other Non Cash Items":-3107381.0,"Net Income From Continuing Operations":2907329.0},"2024-12-31":{"Free Cash Flow":null,"Repayment Of Debt":0.0,"Issuance Of Debt":null,"Issuance Of Capital Stock":0.0,"End Cash Position":null,"Beginning Cash Position":null,"Changes In Cash":null,"Financing Cash Flow":null,"Cash Flow From Continuing Financing Activities":null,"Net Other Financing Charges":0.0,"Proceeds From Stock Option Exercised":0.0,"Net Common Stock Issuance":0.0,"Common Stock Issuance":0.0,"Net Issuance Payments Of Debt":null,"Net Short Term Debt Issuance":null,"Short Term Debt Payments":0.0,"Short Term Debt Issuance":null,"Investing Cash Flow":0.0,"Cash Flow From Continuing Investing Activities":0.0,"Net Other Investing Changes":0.0,"Operating Cash Flow":null,"Cash Flow From Continuing Operating Activities":null,"Change In Working Capital":null,"Change In Payables And Accrued Expense":null,"Change In Accrued Expense":null,"Change In Payable":null,"Change In Prepaid Assets":null,"Other Non Cash Items":null,"Net Income From Continuing Operations":null}}}