US Stock MarketDetailed Quotes

BRAG Bragg Gaming Group

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  • 6.550
  • -0.010-0.15%
Trading Jun 3 11:10 ET
154.48MMarket Cap-26200P/E (TTM)

Bragg Gaming Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
-56.78%2.75M
104.05%11.74M
384.07%5.55M
777.97%1.04M
-132.52%-1.2M
63.61%6.36M
4,902.61%5.75M
11.27%-1.95M
-28.92%118K
573.62%3.7M
Net income from continuing operations
-300.00%-1.9M
-10.10%-3.84M
8.18%-786K
-47.70%-2.95M
318.89%377K
33.89%-476K
53.62%-3.48M
47.48%-856K
19.34%-2M
103.86%90K
Operating gains losses
32.97%121K
-12,555.56%-1.14M
---965K
---149K
---116K
--91K
-110.11%-9K
----
----
----
Depreciation and amortization
43.12%3.88M
54.57%13.07M
49.13%3.76M
35.19%3.35M
72.81%3.25M
71.89%2.71M
76.24%8.45M
59.80%2.52M
85.67%2.48M
79.16%1.88M
Deferred tax
-89.00%44K
-41.59%910K
-51.18%910K
--0
-72.41%-400K
814.29%400K
1,005.81%1.56M
1,727.45%1.86M
85.00%-18K
-873.33%-232K
Other non cash items
279.45%1.24M
584.92%2.59M
91.26%788K
696.39%1.55M
79.59%-70K
183.48%326K
56.20%378K
553.97%412K
156.23%194K
-174.24%-343K
Change In working capital
-124.69%-659K
87.52%-455K
164.65%3.52M
-27.29%-1.75M
-425.13%-4.89M
59.53%2.67M
-82.67%-3.65M
-60.71%-5.45M
-567.12%-1.38M
270.14%1.5M
-Change in receivables
-94.63%222K
---2.01M
---828K
34.80%-948K
-417.77%-4.37M
630.55%4.13M
----
----
-274.97%-1.45M
-388.05%-844K
-Change in prepaid assets
116.23%25K
---133K
--661K
431.47%769K
-144.19%-1.41M
-596.77%-154K
----
----
-285.60%-232K
42.59%-577K
-Change in payables and accrued expense
28.49%-906K
--2.3M
--4.11M
-560.16%-1.72M
-50.11%1.18M
-155.11%-1.27M
----
----
150.07%374K
904.44%2.36M
-Change in other current liabilities
----
--140K
--140K
--0
----
----
----
----
92.31%25K
----
-Change in other working capital
----
---746K
---562K
260.44%146K
-151.53%-287K
-135.25%-43K
----
----
-224.66%-91K
411.01%557K
Cash from discontinued investing activities
Operating cash flow
-56.78%2.75M
104.05%11.74M
384.07%5.55M
777.97%1.04M
-132.52%-1.2M
63.61%6.36M
4,902.61%5.75M
11.27%-1.95M
-28.92%118K
573.62%3.7M
Investing cash flow
Cash flow from continuing investing activities
-33.12%-2.75M
42.68%-9.72M
-24.39%-3.11M
-7.95%-2.7M
82.11%-1.85M
-26.02%-2.07M
29.66%-16.96M
-9.04%-2.5M
-203.76%-2.5M
-16.16%-10.32M
Net PPE purchase and sale
25.33%-112K
38.97%-332K
74.56%-73K
49.04%-53K
23.29%-56K
-87.50%-150K
-342.28%-544K
-462.75%-287K
-395.24%-104K
-102.78%-73K
Net intangibles purchase and sale
-37.70%-2.64M
-27.30%-9.39M
-36.62%-3.03M
-9.78%-2.65M
-16.53%-1.79M
-58.91%-1.92M
-134.71%-7.38M
-111.03%-2.22M
-262.86%-2.41M
-81.89%-1.54M
Net business purchase and sale
----
--0
--0
--0
----
----
56.63%-9.04M
100.84%10K
110.14%14K
-8.83%-8.71M
Cash from discontinued investing activities
Investing cash flow
-33.12%-2.75M
42.38%-9.72M
-24.39%-3.11M
-7.95%-2.7M
82.11%-1.85M
-33.42%-2.07M
29.35%-16.87M
-13.35%-2.5M
-270.27%-2.5M
-16.16%-10.32M
Financing cash flow
Cash flow from continuing financing activities
-168.36%-687K
-160.40%-4.17M
-229.05%-1.56M
-115.52%-1.27M
-45.59%-1.07M
-161.22%-256K
-44.41%6.9M
-320.35%-475K
11,994.20%8.21M
-231.61%-737K
Net issuance payments of debt
-274.85%-626K
-161.04%-4.4M
-461.44%-1.72M
-117.96%-1.48M
-49.06%-1.03M
-421.88%-167K
4,312.87%7.2M
-401.64%-306K
20,687.50%8.24M
-1,590.24%-693K
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Proceeds from stock option exercised by employees
--0
3,042.86%440K
--176K
6,400.00%260K
-66.67%3K
0.00%1K
-99.88%14K
--0
-63.64%4K
-98.56%9K
Net other financing activities
----
-92.31%1K
----
----
----
----
-78.69%13K
--0
-75.00%4K
-82.61%4K
Cash from discontinued financing activities
Financing cash flow
-168.36%-687K
-160.40%-4.17M
-229.05%-1.56M
-115.52%-1.27M
-45.59%-1.07M
-161.22%-256K
-44.41%6.9M
-320.35%-475K
11,994.20%8.21M
-231.61%-737K
Net cash flow
Beginning cash position
-22.07%8.8M
-29.48%11.29M
-54.16%7.88M
-2.75%10.74M
-17.87%15.12M
-29.48%11.29M
-38.68%16.01M
-15.38%17.18M
-47.31%11.05M
-38.85%18.41M
Current changes in cash
-117.12%-691K
49.09%-2.15M
117.79%876K
-150.50%-2.94M
43.99%-4.12M
80.22%4.04M
62.83%-4.22M
-9.03%-4.92M
1,105.53%5.82M
19.18%-7.36M
Effect of exchange rate changes
-77.23%-358K
31.25%-341K
104.53%44K
-76.51%74K
-5,040.00%-257K
-221.69%-202K
-139.24%-496K
-547.93%-972K
484.15%315K
86.84%-5K
End cash Position
-48.77%7.75M
-22.07%8.8M
-22.07%8.8M
-54.16%7.88M
-2.75%10.74M
-17.87%15.12M
-29.48%11.29M
-29.48%11.29M
-15.38%17.18M
-47.31%11.05M
Free cash flow
-100.09%-4K
192.99%2.02M
154.70%2.44M
30.55%-1.67M
-246.00%-3.05M
65.05%4.29M
31.20%-2.17M
-35.00%-4.46M
-361.35%-2.4M
225.69%2.09M
Currency Unit
EUR
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EUR
EUR
EUR
EUR
EUR
EUR
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Audit Opinions
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Unqualified Opinion
--
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--
--
Unqualified Opinion
--
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(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities -56.78%2.75M104.05%11.74M384.07%5.55M777.97%1.04M-132.52%-1.2M63.61%6.36M4,902.61%5.75M11.27%-1.95M-28.92%118K573.62%3.7M
Net income from continuing operations -300.00%-1.9M-10.10%-3.84M8.18%-786K-47.70%-2.95M318.89%377K33.89%-476K53.62%-3.48M47.48%-856K19.34%-2M103.86%90K
Operating gains losses 32.97%121K-12,555.56%-1.14M---965K---149K---116K--91K-110.11%-9K------------
Depreciation and amortization 43.12%3.88M54.57%13.07M49.13%3.76M35.19%3.35M72.81%3.25M71.89%2.71M76.24%8.45M59.80%2.52M85.67%2.48M79.16%1.88M
Deferred tax -89.00%44K-41.59%910K-51.18%910K--0-72.41%-400K814.29%400K1,005.81%1.56M1,727.45%1.86M85.00%-18K-873.33%-232K
Other non cash items 279.45%1.24M584.92%2.59M91.26%788K696.39%1.55M79.59%-70K183.48%326K56.20%378K553.97%412K156.23%194K-174.24%-343K
Change In working capital -124.69%-659K87.52%-455K164.65%3.52M-27.29%-1.75M-425.13%-4.89M59.53%2.67M-82.67%-3.65M-60.71%-5.45M-567.12%-1.38M270.14%1.5M
-Change in receivables -94.63%222K---2.01M---828K34.80%-948K-417.77%-4.37M630.55%4.13M---------274.97%-1.45M-388.05%-844K
-Change in prepaid assets 116.23%25K---133K--661K431.47%769K-144.19%-1.41M-596.77%-154K---------285.60%-232K42.59%-577K
-Change in payables and accrued expense 28.49%-906K--2.3M--4.11M-560.16%-1.72M-50.11%1.18M-155.11%-1.27M--------150.07%374K904.44%2.36M
-Change in other current liabilities ------140K--140K--0----------------92.31%25K----
-Change in other working capital -------746K---562K260.44%146K-151.53%-287K-135.25%-43K---------224.66%-91K411.01%557K
Cash from discontinued investing activities
Operating cash flow -56.78%2.75M104.05%11.74M384.07%5.55M777.97%1.04M-132.52%-1.2M63.61%6.36M4,902.61%5.75M11.27%-1.95M-28.92%118K573.62%3.7M
Investing cash flow
Cash flow from continuing investing activities -33.12%-2.75M42.68%-9.72M-24.39%-3.11M-7.95%-2.7M82.11%-1.85M-26.02%-2.07M29.66%-16.96M-9.04%-2.5M-203.76%-2.5M-16.16%-10.32M
Net PPE purchase and sale 25.33%-112K38.97%-332K74.56%-73K49.04%-53K23.29%-56K-87.50%-150K-342.28%-544K-462.75%-287K-395.24%-104K-102.78%-73K
Net intangibles purchase and sale -37.70%-2.64M-27.30%-9.39M-36.62%-3.03M-9.78%-2.65M-16.53%-1.79M-58.91%-1.92M-134.71%-7.38M-111.03%-2.22M-262.86%-2.41M-81.89%-1.54M
Net business purchase and sale ------0--0--0--------56.63%-9.04M100.84%10K110.14%14K-8.83%-8.71M
Cash from discontinued investing activities
Investing cash flow -33.12%-2.75M42.38%-9.72M-24.39%-3.11M-7.95%-2.7M82.11%-1.85M-33.42%-2.07M29.35%-16.87M-13.35%-2.5M-270.27%-2.5M-16.16%-10.32M
Financing cash flow
Cash flow from continuing financing activities -168.36%-687K-160.40%-4.17M-229.05%-1.56M-115.52%-1.27M-45.59%-1.07M-161.22%-256K-44.41%6.9M-320.35%-475K11,994.20%8.21M-231.61%-737K
Net issuance payments of debt -274.85%-626K-161.04%-4.4M-461.44%-1.72M-117.96%-1.48M-49.06%-1.03M-421.88%-167K4,312.87%7.2M-401.64%-306K20,687.50%8.24M-1,590.24%-693K
Cash dividends paid --0--0--0--0--0--0--0--0--0--0
Proceeds from stock option exercised by employees --03,042.86%440K--176K6,400.00%260K-66.67%3K0.00%1K-99.88%14K--0-63.64%4K-98.56%9K
Net other financing activities -----92.31%1K-----------------78.69%13K--0-75.00%4K-82.61%4K
Cash from discontinued financing activities
Financing cash flow -168.36%-687K-160.40%-4.17M-229.05%-1.56M-115.52%-1.27M-45.59%-1.07M-161.22%-256K-44.41%6.9M-320.35%-475K11,994.20%8.21M-231.61%-737K
Net cash flow
Beginning cash position -22.07%8.8M-29.48%11.29M-54.16%7.88M-2.75%10.74M-17.87%15.12M-29.48%11.29M-38.68%16.01M-15.38%17.18M-47.31%11.05M-38.85%18.41M
Current changes in cash -117.12%-691K49.09%-2.15M117.79%876K-150.50%-2.94M43.99%-4.12M80.22%4.04M62.83%-4.22M-9.03%-4.92M1,105.53%5.82M19.18%-7.36M
Effect of exchange rate changes -77.23%-358K31.25%-341K104.53%44K-76.51%74K-5,040.00%-257K-221.69%-202K-139.24%-496K-547.93%-972K484.15%315K86.84%-5K
End cash Position -48.77%7.75M-22.07%8.8M-22.07%8.8M-54.16%7.88M-2.75%10.74M-17.87%15.12M-29.48%11.29M-29.48%11.29M-15.38%17.18M-47.31%11.05M
Free cash flow -100.09%-4K192.99%2.02M154.70%2.44M30.55%-1.67M-246.00%-3.05M65.05%4.29M31.20%-2.17M-35.00%-4.46M-361.35%-2.4M225.69%2.09M
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

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