CA Stock MarketDetailed Quotes

BRAG Bragg Gaming Group Inc

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  • 6.100
  • -0.060-0.97%
15min DelayMarket Closed Nov 11 16:00 ET
152.17MMarket Cap-12055P/E (TTM)

Bragg Gaming Group Inc Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
1.01%10.85M
-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
-Cash and cash equivalents
1.01%10.85M
-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
Receivables
12.63%18.6M
45.75%18.21M
12.11%18.64M
12.11%18.64M
51.58%17.83M
57.96%16.52M
35.30%12.5M
95.39%16.63M
95.39%16.63M
51.10%11.76M
-Accounts receivable
8.43%17.83M
46.12%17.93M
14.85%18.64M
14.85%18.64M
51.34%17.8M
57.32%16.45M
32.87%12.27M
97.19%16.23M
97.19%16.23M
52.91%11.76M
-Taxes receivable
1,044.78%767K
25.55%285K
--0
--0
--29K
--67K
--227K
78.03%397K
78.03%397K
----
Prepaid assets
-21.82%2.07M
-30.87%1.14M
-24.31%1.28M
-24.31%1.28M
18.23%2.02M
98.13%2.65M
-39.13%1.65M
-30.02%1.7M
-30.02%1.7M
-6.57%1.71M
Other current assets
-7.18%685K
49.39%490K
190.63%372K
190.63%372K
111.42%611K
72.83%738K
507.41%328K
540.00%128K
540.00%128K
75.15%289K
Total current assets
5.10%32.21M
-6.78%27.59M
-2.17%29.09M
-2.17%29.09M
-8.43%28.33M
31.72%30.64M
-2.68%29.59M
10.31%29.74M
10.31%29.74M
2.86%30.94M
Non current assets
Net PPE
114.63%4.15M
91.32%3.92M
213.35%3.87M
213.35%3.87M
49.00%1.93M
73.45%1.93M
139.88%2.05M
48.74%1.24M
48.74%1.24M
52.17%1.3M
-Gross PPE
196.74%5.74M
91.32%3.92M
213.35%3.87M
213.35%3.87M
49.00%1.93M
73.45%1.93M
139.88%2.05M
48.74%1.24M
48.74%1.24M
52.17%1.3M
-Accumulated depreciation
---1.59M
----
----
----
----
----
----
----
----
----
Goodwill and other intangible assets
-2.88%69.13M
-3.26%69.88M
-4.52%70.05M
-4.52%70.05M
-8.27%71.08M
-5.42%71.18M
29.87%72.23M
32.02%73.37M
32.02%73.37M
39.20%77.48M
-Goodwill
2.04%32.31M
1.65%32.19M
0.82%31.92M
0.82%31.92M
11.07%31.66M
11.36%31.66M
28.04%31.66M
28.04%31.66M
28.04%31.66M
7.93%28.51M
-Other intangible assets
-6.83%36.82M
-7.09%37.69M
-8.56%38.13M
-8.56%38.13M
-19.52%39.41M
-15.60%39.52M
31.33%40.57M
35.21%41.71M
35.21%41.71M
67.44%48.97M
Other non current assets
661.70%358K
655.32%355K
640.43%348K
640.43%348K
56.67%47K
56.67%47K
56.67%47K
67.86%47K
67.86%47K
7.14%30K
Total non current assets
0.65%73.64M
-0.23%74.16M
-0.50%74.28M
-0.50%74.28M
-7.30%73.06M
-4.24%73.16M
31.55%74.33M
32.28%74.65M
32.28%74.65M
39.38%78.81M
Total assets
1.96%105.85M
-2.09%101.75M
-0.98%103.37M
-0.98%103.37M
-7.62%101.39M
4.15%103.81M
19.57%103.92M
25.18%104.39M
25.18%104.39M
26.70%109.75M
Liabilities
Current liabilities
Current debt and capital lease obligation
2,208.48%7.9M
449.62%2.17M
75.93%709K
75.93%709K
625.77%4M
-0.29%342K
133.73%395K
170.47%403K
170.47%403K
233.94%551K
-Current debt
--7.17M
--1.45M
----
----
2,915.13%3.59M
----
----
--109K
--109K
--119K
-Current capital lease obligation
113.45%730K
83.80%726K
141.16%709K
141.16%709K
-4.86%411K
48.05%342K
133.73%395K
97.32%294K
97.32%294K
161.82%432K
Payables
4.61%7.24M
40.31%8.4M
50.21%8.78M
50.21%8.78M
-2.90%4.45M
1.54%6.92M
92.54%5.98M
111.70%5.85M
111.70%5.85M
-16.32%4.58M
-accounts payable
13.01%6.2M
51.78%6.56M
73.42%7.5M
73.42%7.5M
-4.28%2.73M
9.36%5.48M
127.94%4.32M
195.56%4.33M
195.56%4.33M
12.06%2.85M
-Total tax payable
-41.58%718K
-21.20%1.1M
-16.53%929K
-16.53%929K
12.14%1.37M
0.41%1.23M
20.76%1.4M
-9.36%1.11M
-9.36%1.11M
-57.73%1.22M
-Other payable
55.71%327K
177.65%733K
-14.32%347K
-14.32%347K
-31.05%353K
-63.73%210K
380.00%264K
486.96%405K
486.96%405K
966.67%512K
Current accrued expenses
-0.81%13.54M
3.61%14.19M
-5.63%13.98M
-5.63%13.98M
-4.98%15.72M
-2.27%13.65M
-4.45%13.69M
19.68%14.82M
19.68%14.82M
33.69%16.54M
Current deferred liabilities
37.49%1.8M
8.00%1.97M
-21.28%1.51M
-21.28%1.51M
-16.33%2.08M
-49.30%1.31M
1,116.00%1.82M
7,018.52%1.92M
7,018.52%1.92M
265.78%2.48M
Other current liabilities
-84.69%154K
-61.71%435K
120.91%2.92M
120.91%2.92M
-75.64%869K
--1.01M
--1.14M
--1.32M
--1.32M
--3.57M
Current liabilities
31.87%30.62M
17.92%27.16M
14.79%27.9M
14.79%27.9M
-2.21%27.11M
-2.02%23.22M
29.70%23.03M
58.69%24.31M
58.69%24.31M
48.31%27.72M
Non current liabilities
Long term debt and capital lease obligation
-55.24%2.46M
-60.15%2.62M
-63.27%2.57M
-63.27%2.57M
-82.30%955K
1,177.26%5.51M
1,452.36%6.58M
1,450.33%6.99M
1,450.33%6.99M
1,008.21%5.4M
-Long term debt
----
----
----
----
----
--4.53M
--5.57M
--6.65M
--6.65M
--5M
-Long term capital lease obligation
153.24%2.46M
159.70%2.62M
646.51%2.57M
646.51%2.57M
140.55%955K
125.75%973K
138.21%1.01M
-23.73%344K
-23.73%344K
-18.48%397K
Non current deferred liabilities
-65.68%699K
-25.73%2.38M
-31.43%2.28M
-31.43%2.28M
-30.37%2.58M
-44.96%2.04M
169.76%3.2M
167.26%3.32M
167.26%3.32M
224.91%3.7M
Other non current liabilities
60.09%373K
60.09%373K
60.09%373K
60.09%373K
-59.83%233K
-58.02%233K
26.63%233K
26.63%233K
26.63%233K
213.51%580K
Total non current liabilities
-54.52%3.54M
-46.35%5.37M
-50.52%5.22M
-50.52%5.22M
-61.09%3.77M
65.88%7.78M
458.05%10.02M
461.61%10.55M
461.61%10.55M
434.27%9.68M
Total liabilities
10.20%34.16M
-1.56%32.53M
-4.98%33.12M
-4.98%33.12M
-17.45%30.88M
9.19%31M
69.02%33.05M
102.70%34.85M
102.70%34.85M
82.41%37.4M
Shareholders'equity
Share capital
12.25%131.41M
8.58%121.08M
9.20%120.02M
9.20%120.02M
7.98%118.67M
6.52%117.06M
9.66%111.52M
9.59%109.9M
9.59%109.9M
9.59%109.9M
-common stock
12.25%131.41M
8.58%121.08M
9.20%120.02M
9.20%120.02M
7.98%118.67M
6.52%117.06M
9.66%111.52M
9.59%109.9M
9.59%109.9M
9.59%109.9M
Additional paid-in capital
-17.91%17.73M
-6.66%20.07M
-4.14%19.89M
-4.14%19.89M
6.70%21.25M
13.25%21.6M
17.64%21.5M
12.84%20.75M
12.84%20.75M
14.45%19.91M
Retained earnings
-11.12%-80.37M
-7.24%-77.97M
-5.31%-76.06M
-5.31%-76.06M
-5.47%-75.28M
-4.26%-72.33M
-4.66%-72.7M
-5.07%-72.23M
-5.07%-72.23M
-6.34%-71.37M
Gains losses not affecting retained earnings
-1.02%2.92M
-28.34%2.53M
-28.75%2.92M
-28.75%2.92M
-65.99%2.34M
-36.80%2.95M
15.25%3.54M
64.81%4.09M
64.81%4.09M
290.24%6.88M
Other equity interest
----
-50.27%3.49M
-50.27%3.49M
-50.27%3.49M
-49.73%3.53M
-49.73%3.53M
-49.07%7.02M
-49.07%7.02M
-49.07%7.02M
-49.07%7.02M
Total stockholders'equity
-1.54%71.69M
-2.34%69.21M
1.03%70.25M
1.03%70.25M
-2.54%70.51M
2.14%72.81M
5.22%70.87M
5.04%69.53M
5.04%69.53M
9.42%72.34M
Total equity
-1.54%71.69M
-2.34%69.21M
1.03%70.25M
1.03%70.25M
-2.54%70.51M
2.14%72.81M
5.22%70.87M
5.04%69.53M
5.04%69.53M
9.42%72.34M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
--
--
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(Q2)Jun 30, 2024 (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
Assets
Current assets
Cash, cash equivalents and short term investments 1.01%10.85M -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
-Cash and cash equivalents 1.01%10.85M -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
Receivables 12.63%18.6M 45.75%18.21M 12.11%18.64M 12.11%18.64M 51.58%17.83M 57.96%16.52M 35.30%12.5M 95.39%16.63M 95.39%16.63M 51.10%11.76M
-Accounts receivable 8.43%17.83M 46.12%17.93M 14.85%18.64M 14.85%18.64M 51.34%17.8M 57.32%16.45M 32.87%12.27M 97.19%16.23M 97.19%16.23M 52.91%11.76M
-Taxes receivable 1,044.78%767K 25.55%285K --0 --0 --29K --67K --227K 78.03%397K 78.03%397K ----
Prepaid assets -21.82%2.07M -30.87%1.14M -24.31%1.28M -24.31%1.28M 18.23%2.02M 98.13%2.65M -39.13%1.65M -30.02%1.7M -30.02%1.7M -6.57%1.71M
Other current assets -7.18%685K 49.39%490K 190.63%372K 190.63%372K 111.42%611K 72.83%738K 507.41%328K 540.00%128K 540.00%128K 75.15%289K
Total current assets 5.10%32.21M -6.78%27.59M -2.17%29.09M -2.17%29.09M -8.43%28.33M 31.72%30.64M -2.68%29.59M 10.31%29.74M 10.31%29.74M 2.86%30.94M
Non current assets
Net PPE 114.63%4.15M 91.32%3.92M 213.35%3.87M 213.35%3.87M 49.00%1.93M 73.45%1.93M 139.88%2.05M 48.74%1.24M 48.74%1.24M 52.17%1.3M
-Gross PPE 196.74%5.74M 91.32%3.92M 213.35%3.87M 213.35%3.87M 49.00%1.93M 73.45%1.93M 139.88%2.05M 48.74%1.24M 48.74%1.24M 52.17%1.3M
-Accumulated depreciation ---1.59M ---- ---- ---- ---- ---- ---- ---- ---- ----
Goodwill and other intangible assets -2.88%69.13M -3.26%69.88M -4.52%70.05M -4.52%70.05M -8.27%71.08M -5.42%71.18M 29.87%72.23M 32.02%73.37M 32.02%73.37M 39.20%77.48M
-Goodwill 2.04%32.31M 1.65%32.19M 0.82%31.92M 0.82%31.92M 11.07%31.66M 11.36%31.66M 28.04%31.66M 28.04%31.66M 28.04%31.66M 7.93%28.51M
-Other intangible assets -6.83%36.82M -7.09%37.69M -8.56%38.13M -8.56%38.13M -19.52%39.41M -15.60%39.52M 31.33%40.57M 35.21%41.71M 35.21%41.71M 67.44%48.97M
Other non current assets 661.70%358K 655.32%355K 640.43%348K 640.43%348K 56.67%47K 56.67%47K 56.67%47K 67.86%47K 67.86%47K 7.14%30K
Total non current assets 0.65%73.64M -0.23%74.16M -0.50%74.28M -0.50%74.28M -7.30%73.06M -4.24%73.16M 31.55%74.33M 32.28%74.65M 32.28%74.65M 39.38%78.81M
Total assets 1.96%105.85M -2.09%101.75M -0.98%103.37M -0.98%103.37M -7.62%101.39M 4.15%103.81M 19.57%103.92M 25.18%104.39M 25.18%104.39M 26.70%109.75M
Liabilities
Current liabilities
Current debt and capital lease obligation 2,208.48%7.9M 449.62%2.17M 75.93%709K 75.93%709K 625.77%4M -0.29%342K 133.73%395K 170.47%403K 170.47%403K 233.94%551K
-Current debt --7.17M --1.45M ---- ---- 2,915.13%3.59M ---- ---- --109K --109K --119K
-Current capital lease obligation 113.45%730K 83.80%726K 141.16%709K 141.16%709K -4.86%411K 48.05%342K 133.73%395K 97.32%294K 97.32%294K 161.82%432K
Payables 4.61%7.24M 40.31%8.4M 50.21%8.78M 50.21%8.78M -2.90%4.45M 1.54%6.92M 92.54%5.98M 111.70%5.85M 111.70%5.85M -16.32%4.58M
-accounts payable 13.01%6.2M 51.78%6.56M 73.42%7.5M 73.42%7.5M -4.28%2.73M 9.36%5.48M 127.94%4.32M 195.56%4.33M 195.56%4.33M 12.06%2.85M
-Total tax payable -41.58%718K -21.20%1.1M -16.53%929K -16.53%929K 12.14%1.37M 0.41%1.23M 20.76%1.4M -9.36%1.11M -9.36%1.11M -57.73%1.22M
-Other payable 55.71%327K 177.65%733K -14.32%347K -14.32%347K -31.05%353K -63.73%210K 380.00%264K 486.96%405K 486.96%405K 966.67%512K
Current accrued expenses -0.81%13.54M 3.61%14.19M -5.63%13.98M -5.63%13.98M -4.98%15.72M -2.27%13.65M -4.45%13.69M 19.68%14.82M 19.68%14.82M 33.69%16.54M
Current deferred liabilities 37.49%1.8M 8.00%1.97M -21.28%1.51M -21.28%1.51M -16.33%2.08M -49.30%1.31M 1,116.00%1.82M 7,018.52%1.92M 7,018.52%1.92M 265.78%2.48M
Other current liabilities -84.69%154K -61.71%435K 120.91%2.92M 120.91%2.92M -75.64%869K --1.01M --1.14M --1.32M --1.32M --3.57M
Current liabilities 31.87%30.62M 17.92%27.16M 14.79%27.9M 14.79%27.9M -2.21%27.11M -2.02%23.22M 29.70%23.03M 58.69%24.31M 58.69%24.31M 48.31%27.72M
Non current liabilities
Long term debt and capital lease obligation -55.24%2.46M -60.15%2.62M -63.27%2.57M -63.27%2.57M -82.30%955K 1,177.26%5.51M 1,452.36%6.58M 1,450.33%6.99M 1,450.33%6.99M 1,008.21%5.4M
-Long term debt ---- ---- ---- ---- ---- --4.53M --5.57M --6.65M --6.65M --5M
-Long term capital lease obligation 153.24%2.46M 159.70%2.62M 646.51%2.57M 646.51%2.57M 140.55%955K 125.75%973K 138.21%1.01M -23.73%344K -23.73%344K -18.48%397K
Non current deferred liabilities -65.68%699K -25.73%2.38M -31.43%2.28M -31.43%2.28M -30.37%2.58M -44.96%2.04M 169.76%3.2M 167.26%3.32M 167.26%3.32M 224.91%3.7M
Other non current liabilities 60.09%373K 60.09%373K 60.09%373K 60.09%373K -59.83%233K -58.02%233K 26.63%233K 26.63%233K 26.63%233K 213.51%580K
Total non current liabilities -54.52%3.54M -46.35%5.37M -50.52%5.22M -50.52%5.22M -61.09%3.77M 65.88%7.78M 458.05%10.02M 461.61%10.55M 461.61%10.55M 434.27%9.68M
Total liabilities 10.20%34.16M -1.56%32.53M -4.98%33.12M -4.98%33.12M -17.45%30.88M 9.19%31M 69.02%33.05M 102.70%34.85M 102.70%34.85M 82.41%37.4M
Shareholders'equity
Share capital 12.25%131.41M 8.58%121.08M 9.20%120.02M 9.20%120.02M 7.98%118.67M 6.52%117.06M 9.66%111.52M 9.59%109.9M 9.59%109.9M 9.59%109.9M
-common stock 12.25%131.41M 8.58%121.08M 9.20%120.02M 9.20%120.02M 7.98%118.67M 6.52%117.06M 9.66%111.52M 9.59%109.9M 9.59%109.9M 9.59%109.9M
Additional paid-in capital -17.91%17.73M -6.66%20.07M -4.14%19.89M -4.14%19.89M 6.70%21.25M 13.25%21.6M 17.64%21.5M 12.84%20.75M 12.84%20.75M 14.45%19.91M
Retained earnings -11.12%-80.37M -7.24%-77.97M -5.31%-76.06M -5.31%-76.06M -5.47%-75.28M -4.26%-72.33M -4.66%-72.7M -5.07%-72.23M -5.07%-72.23M -6.34%-71.37M
Gains losses not affecting retained earnings -1.02%2.92M -28.34%2.53M -28.75%2.92M -28.75%2.92M -65.99%2.34M -36.80%2.95M 15.25%3.54M 64.81%4.09M 64.81%4.09M 290.24%6.88M
Other equity interest ---- -50.27%3.49M -50.27%3.49M -50.27%3.49M -49.73%3.53M -49.73%3.53M -49.07%7.02M -49.07%7.02M -49.07%7.02M -49.07%7.02M
Total stockholders'equity -1.54%71.69M -2.34%69.21M 1.03%70.25M 1.03%70.25M -2.54%70.51M 2.14%72.81M 5.22%70.87M 5.04%69.53M 5.04%69.53M 9.42%72.34M
Total equity -1.54%71.69M -2.34%69.21M 1.03%70.25M 1.03%70.25M -2.54%70.51M 2.14%72.81M 5.22%70.87M 5.04%69.53M 5.04%69.53M 9.42%72.34M
Accounting Standards US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP US-GAAP
Audit Opinions -- -- Unqualified Opinion -- -- -- -- -- -- --

FY: Financial Year. Refers to the 10-K file disclosed by the listed company to the SEC.

Q: Quarter. Refers to the 10-Q file disclosed by the listed company to the SEC. Q1, Q2, Q3, and Q4 are quarterly reports each with a span of 3 months; Q6 and Q9 are cumulative reports, with Q6 including 6 months and Q9 9 months.

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