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NASDAQ:GAMB

Gambling.com

  • Stock

USD

Last Close

10.03

25/09 14:32

Market Cap

303.36M

Beta: -

Volume Today

26.07K

Avg: 41.20K

PE Ratio

45.22

PFCF: 36.97

Preview

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Mar '20
Jun '20
Sep '20
Dec '20
Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
net income
4.78M
-
-128K
102.68%
2.61M
2,138.28%
3.49M
33.73%
5.13M
47.09%
3.03M
41.02%
2.69M
11.00%
1.31M
51.34%
4.86M
270.48%
186K
96.17%
2.60M
1,296.77%
-4.74M
282.41%
7.70M
262.38%
921K
88.03%
5.31M
476.55%
6.37M
20.04%
7.30M
14.51%
6.93M
5.06%
depreciation and amortization
533K
-
517K
3.00%
552K
6.77%
624K
13.04%
582K
6.73%
634K
8.93%
585K
7.73%
600K
2.56%
1.83M
204.33%
1.95M
6.90%
1.78M
8.81%
1.40M
21.29%
545K
61.10%
480K
11.93%
495K
3.13%
568K
14.75%
624.00K
9.86%
1.62M
159.78%
deferred income tax
5K
-
140K
2,700%
-776K
654.29%
-607K
21.78%
-838K
38.06%
-1.78M
-
641K
135.99%
-1.94M
403.37%
stock based compensation
315K
-
818K
159.68%
245K
70.05%
402K
64.08%
529K
31.59%
724K
36.86%
885K
22.24%
791K
10.62%
814K
2.91%
846K
3.93%
1.25M
48.11%
691K
44.85%
817K
18.23%
837K
2.45%
change in working capital
-537K
-
-564K
5.03%
71K
112.59%
-1.39M
2,063.38%
-11K
99.21%
1.48M
13,536.36%
-1.40M
194.72%
262K
118.71%
-3.77M
1,537.79%
1.53M
140.75%
-1.05M
168.73%
691K
165.50%
-4.08M
690.16%
2.43M
159.69%
-4.36M
279.29%
8.40K
100.19%
-720.00K
8,670.61%
-3.38M
369.80%
accounts receivables
-2.07M
-
-1.02M
50.83%
-3.86M
278.67%
1.96M
150.67%
-5.27M
369.20%
-3.16M
40.08%
2.24M
170.95%
-2.20M
198.40%
inventory
-161.66K
-
-75K
53.61%
62K
-
13K
79.03%
-899.60
106.92%
accounts payables
1.16M
-
1.67M
44.28%
-215K
112.89%
402.33K
287.13%
863.69K
114.67%
3.17M
266.64%
-2.96M
193.47%
-1.18M
60.19%
other working capital
25.70K
-
118.68K
361.86%
12.24K
-
28.67K
134.19%
-0.61
100.00%
other non cash items
-4.55M
-
3.40M
174.80%
736K
78.38%
488K
33.70%
79K
83.81%
130K
64.56%
-293K
325.38%
-687K
134.47%
-54K
92.14%
-1.10M
1,933.33%
1.51M
237.43%
8.02M
431.54%
2.07M
74.14%
1.28M
38.28%
-3.49M
372.81%
-887.91K
74.57%
3.65M
510.51%
1.47M
59.69%
net cash provided by operating activities
229K
-
3.23M
1,310.04%
3.97M
22.89%
3.53M
11.11%
6.74M
91.10%
4.74M
29.70%
1.38M
70.85%
1.18M
14.77%
3.59M
204.67%
3.46M
3.51%
5.62M
62.51%
6.19M
10.05%
7.08M
14.45%
4.59M
35.23%
-719K
115.67%
6.88M
1,056.81%
8.88M
29.08%
13.31K
99.85%
investments in property plant and equipment
-17K
-
-51K
-
-22K
56.86%
-343K
1,459.09%
-1.62M
371.14%
-627K
61.20%
-2.99M
376.56%
-2.21M
25.97%
-546K
75.32%
-726K
32.97%
-5.82M
702.20%
-877K
84.94%
-681K
22.35%
-604K
11.31%
-7.02M
1,061.88%
-613.00K
91.27%
-21.88M
3,469.46%
acquisitions net
-19.30M
-
-4.11M
78.68%
-2K
99.95%
-663.95K
33,097.50%
-5.56M
-
-2.56M
53.99%
10.56M
513.08%
-10.00M
-
purchases of investments
sales maturities of investments
other investing activites
663.95K
-
-2.39M
459.97%
182.53K
-
-10.43M
5,816.75%
-4.45M
57.35%
4.45M
200.00%
net cash used for investing activites
-17K
-
-51K
-
-22K
56.86%
-343K
1,459.09%
-1.62M
371.14%
-627K
61.20%
-2.99M
376.56%
-21.51M
619.78%
-4.66M
78.33%
-728K
84.38%
-5.82M
700%
-3.27M
43.90%
-6.24M
90.94%
-2.98M
52.26%
-6.89M
131.43%
-5.06M
26.54%
-27.43M
441.86%
debt repayment
-3.48M
-
-36K
98.97%
-76K
111.11%
-13.96M
18,261.84%
-46K
99.67%
-49K
6.52%
-64K
30.61%
-66K
3.13%
-86K
30.30%
-79K
8.14%
-75K
5.06%
-6.08M
8,000%
-105K
98.27%
-94K
10.48%
-105K
11.70%
-98K
6.67%
-100K
2.04%
common stock issued
510K
-
120K
76.47%
2.85M
-
41.92M
-
-2.86M
106.83%
106.71K
-
-1.27K
101.19%
106K
8,437.08%
448.77K
323.37%
common stock repurchased
-348K
-
-764.45K
-
341.43
100.04%
-1.79M
525,645.35%
-3.08M
71.87%
-6.63M
114.88%
dividends paid
-107.05K
-
-32.11K
70.00%
other financing activites
-150K
-
-615K
310%
-46K
92.52%
4.86M
10,658.70%
-169K
103.48%
-47K
72.19%
-6.36M
13,431.91%
2.69M
142.34%
-170K
106.31%
-45K
73.53%
-286K
535.56%
-146K
48.95%
-157K
7.53%
-34.55K
77.99%
66K
291.01%
-30.79K
146.66%
-550.00K
1,686.08%
-826.48K
50.27%
net cash used provided by financing activities
-3.12M
-
-531K
83.00%
-122K
77.02%
-6.25M
5,018.85%
-215K
96.56%
-96K
55.35%
35.50M
37,077.08%
-235K
100.66%
-256K
8.94%
-124K
51.56%
-361K
191.13%
-6.57M
1,719.67%
-262K
96.01%
-893K
240.84%
-39K
95.63%
-1.92M
4,834.38%
-3.66M
90.29%
9.87M
369.58%
effect of forex changes on cash
81K
-
98K
20.99%
98K
0%
114K
16.33%
-372K
426.32%
107K
128.76%
-260K
342.99%
-67K
74.23%
199K
397.01%
-643K
423.12%
-544K
15.40%
777K
242.83%
347K
55.34%
291K
16.14%
-691K
337.46%
525K
175.98%
-266K
150.67%
net change in cash
-2.83M
-
2.80M
198.80%
3.89M
39.23%
-2.63M
167.45%
5.81M
321.25%
3.13M
46.08%
35.99M
1,048.80%
-2.11M
105.87%
-17.98M
750.83%
-1.97M
89.06%
3.99M
302.85%
-5.43M
236.04%
3.90M
171.85%
-2.25M
157.77%
-4.43M
96.49%
-1.46M
67.13%
-111.00K
92.37%
-17.80M
15,931.39%
cash at beginning of period
6.99M
-
4.16M
40.47%
6.96M
67.18%
10.85M
55.95%
8.22M
24.20%
14.04M
70.64%
17.17M
22.32%
53.16M
209.65%
51.05M
3.97%
33.07M
35.22%
31.10M
5.95%
35.09M
12.83%
29.66M
15.47%
33.56M
13.15%
31.31M
6.71%
26.88M
14.14%
25.43M
5.41%
25.32M
0.44%
cash at end of period
4.16M
-
6.96M
67.18%
10.85M
55.95%
8.22M
24.20%
14.04M
70.64%
17.17M
22.32%
53.16M
209.65%
51.05M
3.97%
33.07M
35.22%
31.10M
5.95%
35.09M
12.83%
29.66M
15.47%
33.56M
13.15%
31.31M
6.71%
26.88M
14.14%
25.43M
5.41%
25.32M
0.44%
7.52M
70.29%
operating cash flow
229K
-
3.23M
1,310.04%
3.97M
22.89%
3.53M
11.11%
6.74M
91.10%
4.74M
29.70%
1.38M
70.85%
1.18M
14.77%
3.59M
204.67%
3.46M
3.51%
5.62M
62.51%
6.19M
10.05%
7.08M
14.45%
4.59M
35.23%
-719K
115.67%
6.88M
1,056.81%
8.88M
29.08%
13.31K
99.85%
capital expenditure
-17K
-
-51K
-
-22K
56.86%
-343K
1,459.09%
-1.62M
371.14%
-627K
61.20%
-2.99M
376.56%
-2.21M
25.97%
-546K
75.32%
-726K
32.97%
-5.82M
702.20%
-877K
84.94%
-681K
22.35%
-604K
11.31%
-7.02M
1,061.88%
-613.00K
91.27%
-21.88M
3,469.46%
free cash flow
212K
-
3.23M
1,423.11%
3.92M
21.31%
3.50M
10.52%
6.40M
82.51%
3.12M
51.20%
754K
75.85%
-1.81M
340.19%
1.37M
175.87%
2.91M
112.08%
4.90M
68.05%
364K
92.57%
6.21M
1,604.67%
3.91M
37.05%
-1.32M
133.87%
-138.27K
89.55%
8.27M
6,078.80%
-21.87M
364.51%

All numbers in USD (except ratios and percentages)