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NASDAQ:GMBL

Esports Entertainment Group

  • Stock

USD

Last Close

0.24

01/05 20:00

Market Cap

584.56K

Beta: 1.56

Volume Today

6

Avg: 491.67K

PE Ratio

βˆ’2.49

PFCF: βˆ’0.24

Dividend Yield

0%

Payout:βˆ’2.42%

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Jun '15
Jun '16
Jun '17
Jun '18
Jun '19
Jun '20
Jun '21
Jun '22
Jun '23
net income
-302.15K
-
-337.65K
11.75%
-837.93K
148.16%
-2.03M
142.10%
-6.38M
214.56%
-10.35M
62.21%
-26.37M
154.77%
-102.23M
287.64%
-32.29M
68.42%
depreciation and amortization
665
-
12.12K
1,721.80%
51.24K
322.97%
20.63K
59.74%
3.58M
17,246.70%
12.53M
250.21%
6.52M
47.96%
deferred income tax
52.61K
-
-2.52M
4,889.71%
2.35M
193.13%
-4.14M
276.24%
-5.67M
37.13%
6.90M
221.73%
stock based compensation
79.33K
-
699.86K
782.24%
1.61M
130.65%
4.13M
155.83%
5.17M
25.08%
1.15M
77.77%
change in working capital
-28.18K
-
41.66K
247.84%
46.03K
10.47%
245.98K
434.41%
252.53K
2.66%
147.55K
41.57%
148.97K
0.96%
8.84M
5,836.13%
-100.09K
101.13%
accounts receivables
-302
-
-14.83K
4,809.27%
76.04K
-
-133.97K
276.18%
208.89K
255.93%
inventory
-510.64K
-
-71.26K
86.04%
-4.31M
-
1.01M
-
accounts payables
-5.94K
-
3.48K
158.65%
21.53K
518.26%
219.34K
918.57%
196.60K
10.37%
251.28K
27.81%
4.31M
1,616.39%
5.03M
16.61%
888.20K
82.34%
other working capital
-22.24K
-
38.18K
271.65%
535.43K
1,302.35%
112.73K
78.95%
55.93K
50.38%
-103.72K
285.45%
72.93K
170.31%
3.95M
5,312.99%
-2.21M
156.00%
other non cash items
71.17K
-
57.07K
19.82%
308.92K
441.33%
268.17K
13.19%
5.88M
2,091.65%
3.95M
32.75%
3.77M
4.65%
60.36M
1,501.58%
2.06M
96.58%
net cash provided by operating activities
-259.16K
-
-238.93K
7.81%
-482.32K
101.87%
-1.37M
184.14%
-2.02M
47.43%
-2.27M
12.33%
-18.88M
731.98%
-21.01M
11.25%
-15.75M
25.04%
investments in property plant and equipment
-30K
-
-103.62K
-
-2.65K
97.45%
-62.38K
-
-137.73K
120.77%
-3.32K
97.59%
acquisitions net
-500K
-
-55.34M
10,968.13%
-20.07M
63.74%
2.94M
114.65%
purchases of investments
sales maturities of investments
other investing activites
-3.55K
-
-78.17K
2,099.47%
-12.13K
84.48%
-730.23K
-
125.22K
117.15%
net cash used for investing activites
-30K
-
-107.18K
-
-80.81K
24.60%
-12.13K
84.99%
-500K
4,020.65%
-56.13M
11,126.65%
-20.08M
64.23%
2.94M
114.62%
debt repayment
-60K
-
-56.50K
-
-230K
307.08%
-83.66K
63.63%
-171.66K
105.19%
-3.50M
1,936.31%
common stock issued
384.50K
-
116.01K
69.83%
1.17M
905.48%
651.49K
44.15%
318.53K
51.11%
8.41M
2,541.83%
27.34M
224.90%
17.51M
35.95%
9.00M
48.60%
common stock repurchased
-1K
-
dividends paid
-501.57K
-
-802.51K
60%
other financing activites
-2.92K
-
69.97K
2,493.91%
-18.75K
126.79%
353.84K
1,987.67%
1.71M
384.34%
6.89M
302.29%
59.10M
757.20%
6.65M
88.75%
3.98M
40.19%
net cash used provided by financing activities
381.58K
-
185.98K
51.26%
1.09M
484.84%
1.01M
7.57%
1.98M
96.54%
15.08M
663.20%
86.36M
472.67%
23.49M
72.80%
8.68M
63.05%
effect of forex changes on cash
-332.88K
-
-952.03K
186.00%
1.23M
229.60%
net change in cash
92.42K
-
-52.94K
157.29%
498.19K
1,040.99%
-445.94K
189.51%
-56.76K
87.27%
12.31M
21,789.53%
11.01M
10.58%
-18.55M
268.53%
-2.90M
84.39%
cash at beginning of period
8.45K
-
100.86K
1,093.81%
47.92K
52.49%
546.11K
1,039.58%
100.17K
81.66%
43.41K
56.66%
12.35M
28,355.97%
23.36M
89.10%
4.81M
79.41%
cash at end of period
100.86K
-
47.92K
52.49%
546.11K
1,039.58%
100.17K
81.66%
43.41K
56.66%
12.35M
28,355.97%
23.36M
89.10%
4.81M
79.41%
1.91M
60.21%
operating cash flow
-259.16K
-
-238.93K
7.81%
-482.32K
101.87%
-1.37M
184.14%
-2.02M
47.43%
-2.27M
12.33%
-18.88M
731.98%
-21.01M
11.25%
-15.75M
25.04%
capital expenditure
-32.05K
-
-2.65K
91.75%
-62.38K
-
-137.73K
120.77%
-3.32K
97.59%
free cash flow
-259.16K
-
-238.93K
7.81%
-514.37K
115.28%
-1.37M
166.95%
-2.02M
47.15%
-2.27M
12.33%
-18.95M
734.73%
-21.14M
11.61%
-15.75M
25.51%

All numbers in USD (except ratios and percentages)