US Stock MarketDetailed Quotes

GCGMF GREAT CANADIAN GAMING CORP

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15min DelayClose Apr 19 09:30 ET
0Market Cap0.00P/E (TTM)

GREAT CANADIAN GAMING CORP Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
(FY)Dec 31, 2020
(Q4)Dec 31, 2020
(Q3)Sep 30, 2020
(Q2)Jun 30, 2020
(Q1)Mar 31, 2020
(FY)Dec 31, 2019
(Q4)Dec 31, 2019
(Q3)Sep 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments
-12.24%437.2M
-50.39%437.5M
31.88%434.8M
31.88%434.8M
52.32%471.9M
22.23%498.2M
190.10%881.9M
-2.11%329.7M
-2.11%329.7M
-46.54%309.8M
-Cash and cash equivalents
-12.24%437.2M
-50.39%437.5M
31.88%434.8M
31.88%434.8M
52.32%471.9M
22.23%498.2M
190.10%881.9M
-2.11%329.7M
-2.11%329.7M
-46.54%309.8M
Receivables
6.22%80.3M
9.93%81.9M
-3.02%77.2M
-3.02%77.2M
-38.81%51.4M
-10.85%75.6M
-6.29%74.5M
17.93%79.6M
17.93%79.6M
14.29%84M
-Accounts receivable
-59.55%26.9M
-51.55%34.4M
-63.38%22.3M
-63.38%22.3M
-63.93%30.3M
-21.58%66.5M
-10.69%71M
5.55%60.9M
5.55%60.9M
14.29%84M
-Taxes receivable
486.81%53.4M
1,257.14%47.5M
193.58%54.9M
193.58%54.9M
--21.1M
--9.1M
--3.5M
90.82%18.7M
90.82%18.7M
----
Prepaid assets
3.90%29.3M
-12.46%30.9M
20.40%30.1M
20.40%30.1M
-0.70%28.5M
-0.35%28.2M
13.87%35.3M
-5.66%25M
-5.66%25M
12.99%28.7M
Total current assets
-9.17%546.8M
-44.51%550.3M
24.82%542.1M
24.82%542.1M
30.60%551.8M
15.61%602M
139.25%991.7M
-1.05%434.3M
-1.05%434.3M
-38.46%422.5M
Non current assets
Net PPE
1.91%2.41B
2.95%2.42B
7.28%2.43B
7.28%2.43B
13.06%2.4B
14.79%2.37B
19.39%2.35B
128.59%2.26B
128.59%2.26B
133.51%2.13B
-Gross PPE
6.65%3.36B
7.28%3.32B
8.78%3.17B
8.78%3.17B
15.17%3.23B
16.71%3.15B
19.81%3.1B
84.82%2.92B
84.82%2.92B
89.47%2.8B
-Accumulated depreciation
-20.92%-949.2M
-20.87%-904.8M
-13.92%-748.8M
-13.92%-748.8M
-21.83%-820.9M
-22.93%-785M
-21.13%-748.6M
-11.43%-657.3M
-11.43%-657.3M
-18.77%-673.8M
Goodwill and other intangible assets
-8.99%91.1M
-8.70%93.4M
-8.60%95.6M
-8.60%95.6M
-8.43%97.8M
-8.25%100.1M
-14.82%102.3M
-13.98%104.6M
-13.98%104.6M
-13.10%106.8M
-Goodwill
0.00%13.5M
0.00%13.5M
0.00%13.5M
0.00%13.5M
0.00%13.5M
0.00%13.5M
-39.46%13.5M
-40.00%13.5M
-40.00%13.5M
-38.64%13.5M
-Other intangible assets
-10.39%77.6M
-10.02%79.9M
-9.88%82.1M
-9.88%82.1M
-9.65%84.3M
-9.41%86.6M
-9.20%88.8M
-8.07%91.1M
-8.07%91.1M
-7.53%93.3M
Non current deferred assets
11.98%18.7M
26.09%17.4M
37.90%17.1M
37.90%17.1M
29.33%19.4M
-1.76%16.7M
1.47%13.8M
3.33%12.4M
3.33%12.4M
14.50%15M
Non current prepaid assets
0.00%38.9M
0.00%38.9M
0.00%38.9M
0.00%38.9M
0.00%38.9M
0.00%38.9M
0.00%38.9M
0.00%38.9M
0.00%38.9M
0.00%38.9M
Other non current assets
0.00%700K
16.67%700K
-14.29%600K
-14.29%600K
-22.22%700K
-30.00%700K
-50.00%600K
-46.15%700K
-46.15%700K
-59.09%900K
Total non current assets
1.52%2.56B
2.56%2.57B
6.63%2.58B
6.63%2.58B
11.93%2.56B
13.26%2.52B
16.97%2.51B
107.89%2.42B
107.89%2.42B
110.35%2.29B
Total assets
-0.54%3.11B
-10.79%3.12B
9.40%3.12B
9.40%3.12B
14.84%3.11B
13.70%3.12B
36.79%3.5B
78.04%2.85B
78.04%2.85B
52.78%2.71B
Liabilities
Current liabilities
Payables
----
----
-40.25%144.9M
-40.25%144.9M
-33.82%159.1M
-38.46%151.5M
-1.92%240.1M
6.64%242.5M
6.64%242.5M
7.47%240.4M
-accounts payable
----
----
-40.07%144.9M
-40.07%144.9M
-33.07%159.1M
-33.32%151.5M
10.29%240.1M
23.30%241.8M
23.30%241.8M
19.51%237.7M
-Total tax payable
----
----
--0
--0
--0
--0
--0
-97.76%700K
-97.76%700K
-89.11%2.7M
Current debt and capital lease obligation
-0.80%37.1M
6.71%36.6M
6.98%36.8M
6.98%36.8M
13.93%36.8M
22.22%37.4M
6.85%34.3M
--34.4M
--34.4M
--32.3M
-Current capital lease obligation
-0.80%37.1M
6.71%36.6M
6.98%36.8M
6.98%36.8M
13.93%36.8M
22.22%37.4M
6.85%34.3M
--34.4M
--34.4M
--32.3M
Other current liabilities
-12.50%4.2M
-1.96%5M
5.88%5.4M
5.88%5.4M
15.56%5.2M
20.00%4.8M
41.67%5.1M
30.77%5.1M
30.77%5.1M
28.57%4.5M
Current liabilities
-20.91%153.2M
-42.83%159.8M
-33.65%187.1M
-33.65%187.1M
-27.45%201.1M
-31.02%193.7M
-0.36%279.5M
21.92%282M
21.92%282M
22.01%277.2M
Non current liabilities
Long term provisions
----
----
-20.00%5.2M
-20.00%5.2M
----
----
----
-4.41%6.5M
-4.41%6.5M
----
Long term debt and capital lease obligation
6.17%2.3B
-6.02%2.28B
25.38%2.25B
25.38%2.25B
38.98%2.21B
34.69%2.17B
60.65%2.43B
184.29%1.8B
184.29%1.8B
125.04%1.59B
-Long term debt
13.02%1.4B
-8.19%1.37B
53.36%1.33B
53.36%1.33B
91.17%1.28B
85.57%1.24B
146.76%1.49B
37.71%869.8M
37.71%869.8M
-4.97%670.6M
-Long term capital lease obligation
-2.90%906.2M
-2.57%914.1M
-0.90%917.5M
-0.90%917.5M
0.84%925.2M
-1.20%933.3M
3.36%938.2M
--925.8M
--925.8M
--917.5M
Non current deferred liabilities
-2.60%104.7M
-3.48%105.5M
-2.72%103.7M
-2.72%103.7M
-5.93%106.2M
-3.59%107.5M
-6.34%109.3M
-2.56%106.6M
-2.56%106.6M
-6.77%112.9M
Total non current liabilities
5.76%2.41B
-5.91%2.39B
23.66%2.36B
23.66%2.36B
36.00%2.31B
32.21%2.28B
55.85%2.54B
155.24%1.91B
155.24%1.91B
105.73%1.7B
Total liabilities
3.67%2.56B
-9.57%2.55B
16.28%2.55B
16.28%2.55B
27.11%2.51B
23.34%2.47B
47.59%2.82B
123.75%2.19B
123.75%2.19B
87.69%1.98B
Shareholders'equity
Share capital
18.23%415.1M
21.43%414.7M
9.76%369.9M
9.76%369.9M
24.49%350.7M
2.03%351.1M
-0.44%341.5M
5.08%337M
5.08%337M
-14.51%281.7M
-common stock
18.23%415.1M
21.43%414.7M
9.76%369.9M
9.76%369.9M
24.49%350.7M
2.03%351.1M
-0.44%341.5M
5.08%337M
5.08%337M
-14.51%281.7M
Retained earnings
-73.05%46.3M
-67.27%66.5M
-49.95%95.3M
-49.95%95.3M
-44.10%128.9M
-31.39%171.8M
18.76%203.2M
31.76%190.4M
31.76%190.4M
-10.13%230.6M
Gains losses not affecting retained earnings
----
----
----
----
----
-150.00%-100K
-102.86%-100K
----
----
1,981.48%56.2M
Total stockholders'equity
-11.74%461.4M
-11.64%481.2M
-11.79%465.2M
-11.79%465.2M
-15.64%479.6M
-12.09%522.8M
5.22%544.6M
12.36%527.4M
12.36%527.4M
-3.45%568.5M
Noncontrolling interests
-35.11%85.2M
-32.50%92M
-19.73%107.4M
-19.73%107.4M
-27.56%118.8M
-12.70%131.3M
4.13%136.3M
-12.72%133.8M
-12.72%133.8M
24.71%164M
Total equity
-16.43%546.6M
-15.82%573.2M
-13.40%572.6M
-13.40%572.6M
-18.31%598.4M
-12.21%654.1M
5.00%680.9M
6.18%661.2M
6.18%661.2M
1.69%732.5M
Currency Unit
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
CAD
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2021(Q1)Mar 31, 2021(FY)Dec 31, 2020(Q4)Dec 31, 2020(Q3)Sep 30, 2020(Q2)Jun 30, 2020(Q1)Mar 31, 2020(FY)Dec 31, 2019(Q4)Dec 31, 2019(Q3)Sep 30, 2019
Assets
Current assets
Cash, cash equivalents and short term investments -12.24%437.2M-50.39%437.5M31.88%434.8M31.88%434.8M52.32%471.9M22.23%498.2M190.10%881.9M-2.11%329.7M-2.11%329.7M-46.54%309.8M
-Cash and cash equivalents -12.24%437.2M-50.39%437.5M31.88%434.8M31.88%434.8M52.32%471.9M22.23%498.2M190.10%881.9M-2.11%329.7M-2.11%329.7M-46.54%309.8M
Receivables 6.22%80.3M9.93%81.9M-3.02%77.2M-3.02%77.2M-38.81%51.4M-10.85%75.6M-6.29%74.5M17.93%79.6M17.93%79.6M14.29%84M
-Accounts receivable -59.55%26.9M-51.55%34.4M-63.38%22.3M-63.38%22.3M-63.93%30.3M-21.58%66.5M-10.69%71M5.55%60.9M5.55%60.9M14.29%84M
-Taxes receivable 486.81%53.4M1,257.14%47.5M193.58%54.9M193.58%54.9M--21.1M--9.1M--3.5M90.82%18.7M90.82%18.7M----
Prepaid assets 3.90%29.3M-12.46%30.9M20.40%30.1M20.40%30.1M-0.70%28.5M-0.35%28.2M13.87%35.3M-5.66%25M-5.66%25M12.99%28.7M
Total current assets -9.17%546.8M-44.51%550.3M24.82%542.1M24.82%542.1M30.60%551.8M15.61%602M139.25%991.7M-1.05%434.3M-1.05%434.3M-38.46%422.5M
Non current assets
Net PPE 1.91%2.41B2.95%2.42B7.28%2.43B7.28%2.43B13.06%2.4B14.79%2.37B19.39%2.35B128.59%2.26B128.59%2.26B133.51%2.13B
-Gross PPE 6.65%3.36B7.28%3.32B8.78%3.17B8.78%3.17B15.17%3.23B16.71%3.15B19.81%3.1B84.82%2.92B84.82%2.92B89.47%2.8B
-Accumulated depreciation -20.92%-949.2M-20.87%-904.8M-13.92%-748.8M-13.92%-748.8M-21.83%-820.9M-22.93%-785M-21.13%-748.6M-11.43%-657.3M-11.43%-657.3M-18.77%-673.8M
Goodwill and other intangible assets -8.99%91.1M-8.70%93.4M-8.60%95.6M-8.60%95.6M-8.43%97.8M-8.25%100.1M-14.82%102.3M-13.98%104.6M-13.98%104.6M-13.10%106.8M
-Goodwill 0.00%13.5M0.00%13.5M0.00%13.5M0.00%13.5M0.00%13.5M0.00%13.5M-39.46%13.5M-40.00%13.5M-40.00%13.5M-38.64%13.5M
-Other intangible assets -10.39%77.6M-10.02%79.9M-9.88%82.1M-9.88%82.1M-9.65%84.3M-9.41%86.6M-9.20%88.8M-8.07%91.1M-8.07%91.1M-7.53%93.3M
Non current deferred assets 11.98%18.7M26.09%17.4M37.90%17.1M37.90%17.1M29.33%19.4M-1.76%16.7M1.47%13.8M3.33%12.4M3.33%12.4M14.50%15M
Non current prepaid assets 0.00%38.9M0.00%38.9M0.00%38.9M0.00%38.9M0.00%38.9M0.00%38.9M0.00%38.9M0.00%38.9M0.00%38.9M0.00%38.9M
Other non current assets 0.00%700K16.67%700K-14.29%600K-14.29%600K-22.22%700K-30.00%700K-50.00%600K-46.15%700K-46.15%700K-59.09%900K
Total non current assets 1.52%2.56B2.56%2.57B6.63%2.58B6.63%2.58B11.93%2.56B13.26%2.52B16.97%2.51B107.89%2.42B107.89%2.42B110.35%2.29B
Total assets -0.54%3.11B-10.79%3.12B9.40%3.12B9.40%3.12B14.84%3.11B13.70%3.12B36.79%3.5B78.04%2.85B78.04%2.85B52.78%2.71B
Liabilities
Current liabilities
Payables ---------40.25%144.9M-40.25%144.9M-33.82%159.1M-38.46%151.5M-1.92%240.1M6.64%242.5M6.64%242.5M7.47%240.4M
-accounts payable ---------40.07%144.9M-40.07%144.9M-33.07%159.1M-33.32%151.5M10.29%240.1M23.30%241.8M23.30%241.8M19.51%237.7M
-Total tax payable ----------0--0--0--0--0-97.76%700K-97.76%700K-89.11%2.7M
Current debt and capital lease obligation -0.80%37.1M6.71%36.6M6.98%36.8M6.98%36.8M13.93%36.8M22.22%37.4M6.85%34.3M--34.4M--34.4M--32.3M
-Current capital lease obligation -0.80%37.1M6.71%36.6M6.98%36.8M6.98%36.8M13.93%36.8M22.22%37.4M6.85%34.3M--34.4M--34.4M--32.3M
Other current liabilities -12.50%4.2M-1.96%5M5.88%5.4M5.88%5.4M15.56%5.2M20.00%4.8M41.67%5.1M30.77%5.1M30.77%5.1M28.57%4.5M
Current liabilities -20.91%153.2M-42.83%159.8M-33.65%187.1M-33.65%187.1M-27.45%201.1M-31.02%193.7M-0.36%279.5M21.92%282M21.92%282M22.01%277.2M
Non current liabilities
Long term provisions ---------20.00%5.2M-20.00%5.2M-------------4.41%6.5M-4.41%6.5M----
Long term debt and capital lease obligation 6.17%2.3B-6.02%2.28B25.38%2.25B25.38%2.25B38.98%2.21B34.69%2.17B60.65%2.43B184.29%1.8B184.29%1.8B125.04%1.59B
-Long term debt 13.02%1.4B-8.19%1.37B53.36%1.33B53.36%1.33B91.17%1.28B85.57%1.24B146.76%1.49B37.71%869.8M37.71%869.8M-4.97%670.6M
-Long term capital lease obligation -2.90%906.2M-2.57%914.1M-0.90%917.5M-0.90%917.5M0.84%925.2M-1.20%933.3M3.36%938.2M--925.8M--925.8M--917.5M
Non current deferred liabilities -2.60%104.7M-3.48%105.5M-2.72%103.7M-2.72%103.7M-5.93%106.2M-3.59%107.5M-6.34%109.3M-2.56%106.6M-2.56%106.6M-6.77%112.9M
Total non current liabilities 5.76%2.41B-5.91%2.39B23.66%2.36B23.66%2.36B36.00%2.31B32.21%2.28B55.85%2.54B155.24%1.91B155.24%1.91B105.73%1.7B
Total liabilities 3.67%2.56B-9.57%2.55B16.28%2.55B16.28%2.55B27.11%2.51B23.34%2.47B47.59%2.82B123.75%2.19B123.75%2.19B87.69%1.98B
Shareholders'equity
Share capital 18.23%415.1M21.43%414.7M9.76%369.9M9.76%369.9M24.49%350.7M2.03%351.1M-0.44%341.5M5.08%337M5.08%337M-14.51%281.7M
-common stock 18.23%415.1M21.43%414.7M9.76%369.9M9.76%369.9M24.49%350.7M2.03%351.1M-0.44%341.5M5.08%337M5.08%337M-14.51%281.7M
Retained earnings -73.05%46.3M-67.27%66.5M-49.95%95.3M-49.95%95.3M-44.10%128.9M-31.39%171.8M18.76%203.2M31.76%190.4M31.76%190.4M-10.13%230.6M
Gains losses not affecting retained earnings ---------------------150.00%-100K-102.86%-100K--------1,981.48%56.2M
Total stockholders'equity -11.74%461.4M-11.64%481.2M-11.79%465.2M-11.79%465.2M-15.64%479.6M-12.09%522.8M5.22%544.6M12.36%527.4M12.36%527.4M-3.45%568.5M
Noncontrolling interests -35.11%85.2M-32.50%92M-19.73%107.4M-19.73%107.4M-27.56%118.8M-12.70%131.3M4.13%136.3M-12.72%133.8M-12.72%133.8M24.71%164M
Total equity -16.43%546.6M-15.82%573.2M-13.40%572.6M-13.40%572.6M-18.31%598.4M-12.21%654.1M5.00%680.9M6.18%661.2M6.18%661.2M1.69%732.5M
Currency Unit CADCADCADCADCADCADCADCADCADCAD
Audit Opinions ----Unqualified Opinion--------Unqualified Opinion----

Analysis

Analyst Rating

No Data

Price Target

No Data

Heat List
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