bf/NASDAQ:PLTK_icon.jpeg

COM:PLAYTIKA

Playtika

  • Stock

Last Close

8.48

21/11 21:00

Market Cap

2.76B

Beta: -

Volume Today

444.75K

Avg: -

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
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
257.40M
-
338M
31.31%
288.90M
14.53%
92.10M
68.12%
308.50M
234.96%
275.30M
10.76%
235M
14.64%
depreciation and amortization
26.70M
-
37.70M
41.20%
73M
93.63%
119.20M
63.29%
145.50M
22.06%
162M
11.34%
158M
2.47%
deferred income tax
5.20M
-
-5.20M
200%
40.80M
884.62%
-13.10M
132.11%
-72.70M
454.96%
-46M
36.73%
-46.60M
1.30%
stock based compensation
1.80M
-
276M
15,233.33%
100.40M
63.62%
123.50M
23.01%
110M
10.93%
change in working capital
69M
-
79M
14.49%
72.20M
8.61%
33.10M
54.16%
44.70M
35.05%
-18M
140.27%
-1.20M
93.33%
accounts receivables
-35.40M
-
4.90M
113.84%
-15.40M
414.29%
-1.70M
88.96%
-7.50M
341.18%
1M
113.33%
-25.60M
2,660%
inventory
-38.20M
-
accounts payables
7.90M
-
4.60M
41.77%
8M
73.91%
-20.20M
352.50%
5.90M
129.21%
5.70M
3.39%
-9.30M
263.16%
other working capital
96.50M
-
107.70M
11.61%
79.60M
26.09%
55M
30.90%
46.30M
15.82%
-24.70M
153.35%
33.70M
236.44%
other non cash items
10.70M
-
3.30M
69.16%
15.20M
360.61%
10.40M
31.58%
25.30M
143.27%
-3.10M
112.25%
56.50M
1,922.58%
net cash provided by operating activities
369M
-
452.80M
22.71%
491.90M
8.64%
517.70M
5.24%
551.70M
6.57%
493.70M
10.51%
511.70M
3.65%
investments in property plant and equipment
-20.80M
-
-57M
174.04%
-92.40M
62.11%
-98.10M
6.17%
-99.60M
1.53%
-110M
10.44%
-79.20M
28.00%
acquisitions net
-43.40M
-
-179.20M
312.90%
-422.70M
135.88%
-4.90M
98.84%
-394.10M
7,942.86%
-64.70M
83.58%
-159.60M
146.68%
purchases of investments
-117.80M
-
-23.60M
79.97%
-1.80M
92.37%
sales maturities of investments
-52.20M
-
100.10M
291.76%
other investing activites
-161.70M
-
94.30M
158.32%
-1.40M
101.48%
4.90M
450%
54.30M
1,008.16%
23.60M
56.54%
400K
98.31%
net cash used for investing activites
-225.90M
-
-141.90M
37.18%
-516.50M
263.99%
-98.10M
81.01%
-609.40M
521.20%
-74.60M
87.76%
-240.20M
221.98%
debt repayment
-24M
-
-2.67B
11,035.83%
-408.30M
84.72%
-965.30M
136.42%
-19M
98.03%
-14.30M
24.74%
common stock issued
470.40M
-
606.10M
28.85%
common stock repurchased
-2.40M
-
-2.60M
-
dividends paid
-400M
-
-2.37B
491.47%
-603.50M
-
other financing activites
92M
-
86.60M
5.87%
5.03B
5,710.51%
229.40M
95.44%
1.05B
359.72%
-633M
160.02%
net cash used provided by financing activities
92M
-
-337.40M
466.74%
-6.60M
98.04%
-181.30M
2,646.97%
559.70M
408.71%
-652M
216.49%
-14.30M
97.81%
effect of forex changes on cash
1.60M
-
-2.50M
256.25%
-2.40M
4%
13.30M
654.17%
-6.60M
149.62%
-15.70M
137.88%
4.10M
126.11%
net change in cash
236.70M
-
-29M
112.25%
-33.60M
15.86%
251.60M
848.81%
495.40M
96.90%
-248.60M
150.18%
261.30M
205.11%
cash at beginning of period
97.90M
-
334.60M
241.78%
305.60M
8.67%
272M
10.99%
523.60M
92.50%
1.02B
94.61%
770.40M
24.40%
cash at end of period
334.60M
-
305.60M
8.67%
272M
10.99%
523.60M
92.50%
1.02B
94.61%
770.40M
24.40%
1.03B
33.92%
operating cash flow
369M
-
452.80M
22.71%
491.90M
8.64%
517.70M
5.24%
551.70M
6.57%
493.70M
10.51%
511.70M
3.65%
capital expenditure
-20.80M
-
-57M
174.04%
-92.40M
62.11%
-98.10M
6.17%
-99.60M
1.53%
-110M
10.44%
-79.20M
28.00%
free cash flow
348.20M
-
395.80M
13.67%
399.50M
0.93%
419.60M
5.03%
452.10M
7.75%
383.70M
15.13%
432.50M
12.72%

All numbers in (except ratios and percentages)