av/betmakers-technology-ltd--big.svg

ASX:BET

Betmakers Technology Group Ltd

  • Stock

AUD

Last Close

0.10

02/05 06:10

Market Cap

80.10M

Beta: 2.27

Volume Today

683.37K

Avg: 4.38M

PE Ratio

−2.79

PFCF: −3.47

Preview

Full access to financials is available to subscribers only. Please support our work and get full access to all features. You can cancel anytime. If you'd like a demo, free trial or have any questions, please checkout the help page

Subscribe NowHelp
Jun '15
Jun '16
Jun '17
Jun '18
Jun '19
Jun '20
Jun '21
Jun '22
Jun '23
Jun '24
net income
-1.28M
-
-4.54M
253.81%
-7.62M
67.89%
-5.98M
21.55%
-3.60M
39.68%
-2.14M
40.62%
-17.46M
715.63%
-89.23M
411.10%
-38.78M
56.54%
-38.67M
0.29%
depreciation and amortization
5.84K
-
22.06K
277.43%
141.29K
540.47%
392.69K
177.93%
549.45K
39.92%
2.15M
290.54%
2.70M
25.74%
9.68M
258.85%
11.79M
21.80%
12.20M
3.42%
deferred income tax
-266.92K
-
-1.48M
453.55%
-1.38M
6.31%
-1.81M
30.63%
-1.02M
43.83%
-765.23K
24.66%
-4.95M
547.08%
-6.16M
24.38%
-24.92M
304.58%
stock based compensation
80K
-
1.25M
1,466.67%
220.62K
82.40%
-7.95K
103.60%
95.53K
1,302.37%
885.03K
826.46%
12.36M
1,296.34%
71.03M
474.76%
8.35M
88.25%
change in working capital
186.92K
-
-127.83K
168.39%
-656.40K
413.48%
-304.12K
53.67%
766.67K
352.09%
-730.17K
195.24%
5.25M
819.60%
-3.54M
167.41%
-8.62M
143.28%
27.83M
422.95%
accounts receivables
186.92K
-
-127.83K
168.39%
-656.40K
413.48%
-304.12K
53.67%
766.67K
352.09%
-1.09M
241.63%
2.60M
339.30%
-4.85M
286.58%
-12.20M
151.67%
12.83M
205.15%
inventory
-1.53M
-
-1.19M
22.31%
-574.08K
51.82%
1.13M
297.10%
125.45K
-
380K
202.90%
-156K
141.05%
431K
376.28%
accounts payables
1.41M
-
1.22M
13.70%
482.50K
60.39%
-1.94M
502.42%
-327.29K
83.14%
1.42M
533.64%
5.71M
302.39%
19.37M
239.24%
-3.97M
120.48%
other working capital
-1.41M
-
-1.22M
13.70%
91.57K
107.52%
810.20K
784.76%
682.93K
15.71%
1.11M
62.70%
-4.79M
530.63%
-15.63M
226.73%
18.54M
218.57%
other non cash items
-36.47K
-
1.54M
4,332.70%
3.16M
104.99%
-3.71M
217.15%
124.63K
103.36%
103.96K
16.59%
77.51K
25.44%
27.91M
-
16.95M
39.27%
net cash provided by operating activities
-1.31M
-
-3.32M
153.12%
-6.13M
84.50%
-11.41M
86.09%
-3.08M
72.97%
-501.15K
83.75%
-2.02M
303.65%
-18.22M
800.89%
-24.26M
33.14%
3.21M
113.22%
investments in property plant and equipment
-16.60K
-
-272.56K
1,541.75%
-262.57K
3.67%
-64.31K
75.51%
-26.80K
58.33%
-222.62K
730.72%
-2.64M
1,084.19%
-16.16M
512.98%
-8.22M
49.11%
-8.24M
0.16%
acquisitions net
372.56K
-
-100K
126.84%
650K
750%
-6.72M
1,134.23%
-44.10M
-
-6.02M
86.36%
-2.80M
53.42%
-3.24M
15.49%
purchases of investments
-100K
-
-50K
50%
sales maturities of investments
-272.56K
-
-200K
26.62%
other investing activites
272.56K
-
-500K
-
-599K
-
net cash used for investing activites
-16.60K
-
-372.56K
2,144.09%
-612.57K
64.42%
85.69K
113.99%
-6.75M
7,975.92%
-222.62K
96.70%
-46.74M
20,894.84%
-22.77M
51.27%
-11.03M
51.59%
-11.47M
4.05%
debt repayment
-458.37K
-
-158.08K
-
-482K
204.91%
-890K
84.65%
-2.31M
159.44%
common stock issued
6.16M
-
7.58M
23.03%
9.51M
25.53%
8.83M
7.16%
36.05M
308.32%
138.23M
283.40%
8.83M
93.61%
-9.43M
206.74%
common stock repurchased
-1.10M
-
-139.63K
87.32%
-546.55K
291.44%
-308.70K
43.52%
-1.71M
452.75%
-4.58M
168.50%
-12.10M
-
dividends paid
-4.60M
-
-1.71M
-
-133.16M
7,703.90%
-23.83M
-
other financing activites
1.71M
-
1.10M
35.69%
139.63K
87.32%
551.55K
295.02%
308.70K
44.03%
-587.25K
290.23%
137.75M
23,556.10%
35.93M
-
net cash used provided by financing activities
1.71M
-
5.70M
233.00%
7.58M
32.93%
9.52M
25.60%
8.83M
7.21%
31.90M
261.23%
137.75M
331.86%
7.94M
94.24%
-11.73M
247.78%
-2.69M
77.12%
effect of forex changes on cash
161
-
27K
16,670.19%
516K
1,811.11%
net change in cash
381.89K
-
2.00M
424.58%
831.50K
58.49%
-1.81M
317.73%
-1.00M
44.56%
31.17M
3,205.80%
88.98M
185.46%
-33.06M
137.15%
-46.51M
40.69%
-11.71M
74.82%
cash at beginning of period
50.50K
-
432.39K
756.21%
2.44M
463.31%
3.27M
34.14%
1.46M
55.41%
453.10K
68.90%
31.62M
6,879.61%
120.61M
281.37%
87.55M
27.41%
41.04M
53.12%
cash at end of period
432.39K
-
2.44M
463.31%
3.27M
34.14%
1.46M
55.41%
453.10K
68.90%
31.62M
6,879.61%
120.61M
281.37%
87.55M
27.41%
41.04M
53.12%
29.33M
28.53%
operating cash flow
-1.31M
-
-3.32M
153.12%
-6.13M
84.50%
-11.41M
86.09%
-3.08M
72.97%
-501.15K
83.75%
-2.02M
303.65%
-18.22M
800.89%
-24.26M
33.14%
3.21M
113.22%
capital expenditure
-16.60K
-
-272.56K
1,541.75%
-262.57K
3.67%
-64.31K
75.51%
-26.80K
58.33%
-222.62K
730.72%
-2.64M
1,084.19%
-16.16M
512.98%
-8.22M
49.11%
-8.24M
0.16%
free cash flow
-1.33M
-
-3.60M
170.46%
-6.39M
77.82%
-11.48M
79.46%
-3.11M
72.89%
-723.77K
76.73%
-4.66M
543.73%
-34.38M
637.99%
-32.49M
5.51%
-5.03M
84.52%

All numbers in AUD (except ratios and percentages)