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Bragg Gaming Group Inc

BRAG
2.090USD
-0.080-3.69%
Close 11/05, 16:00ETQuotes delayed by 15 min
53.19MMarket Cap
LossP/E TTM
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
FY2020Q3
FY2020Q2
FY2020Q1
FY2019Q4
FY2019Q3
FY2019Q2
FY2019Q1
FY2018Q4
FY2018Q3
FY2018Q2
FY2018Q1
FY2017Q2
FY2017Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
341.24%2.22M
52.19%3.79M
-57.96%2.14M
522.93%5.73M
20.27%-918.67K
-56.48%2.49M
373.50%5.10M
347.08%919.74K
-132.27%-1.15M
57.59%5.73M
11.44%-1.86M
668.87%205.72K
620.61%3.57M
53.41%3.64M
-797.64%-2.11M
-99.11%26.76K
-241.74%-685.87K
5.31%2.37M
-112.52%-234.61K
555.17%3.01M
13.45%483.88K
190.97%2.25M
580.07%1.87M
213.11%458.80K
143.64%426.51K
-25.41%-2.47M
---390.34K
---405.64K
-448.12%-977.41K
-6659.45%-1.97M
---178.32K
--30.07K
Net income from continuing operations
28.56%-1.57M
-33.62%-2.36M
13.91%-624.83K
94.34%-156.70K
-740.16%-2.20M
-307.38%-1.77M
8.71%-725.76K
-41.36%-2.77M
289.59%343.38K
36.71%-433.52K
46.43%-795.02K
8.45%-1.96M
104.44%88.14K
22.97%-685.00K
67.16%-1.48M
19.79%-2.14M
-278.66%-1.99M
81.45%-889.22K
7.56%-4.52M
-2285.33%-2.67M
84.17%-524.49K
-248.73%-4.79M
36.91%-4.89M
91.76%-111.75K
-84.44%-3.31M
83.36%-1.37M
---7.75M
---1.36M
-923.09%-1.80M
-2791.68%-8.26M
---175.61K
---285.75K
Operating gains losses
16.63%4.27M
17.33%4.22M
24.64%4.32M
31.08%4.11M
23.43%3.66M
45.76%3.60M
48.26%3.47M
29.39%3.14M
60.72%2.96M
64.55%2.47M
63.00%2.34M
110.74%2.42M
105.94%1.84M
116.62%1.50M
150.99%1.44M
81.87%1.15M
58.70%895.46K
-0.85%692.17K
--572.08K
30.64%632.60K
15.67%564.25K
59.54%698.07K
----
8838.99%484.24K
566.82%487.83K
447.15%437.56K
--293.09K
--5.42K
716.80%73.16K
668.85%79.97K
--8.96K
--10.40K
Deferred tax
----
----
----
----
----
----
-100.00%0.00
100.00%0.00
100.00%0.00
100.00%0.00
164.02%245.19K
82.98%-17.63K
-988.91%-227.21K
65.03%-53.28K
366.47%92.87K
-337.97%-103.57K
207.91%25.56K
-511.06%-152.34K
66.38%-34.85K
---23.65K
-193.82%-23.69K
0.90%-24.93K
---103.67K
--0.00
--25.25K
---25.16K
----
----
----
----
----
----
Other non-cash items
---97.89K
35.75%-33.97K
110.50%72.80K
68.43%-68.38K
100.00%0.00
---52.87K
-717.05%-693.44K
---216.58K
---185.81K
100.00%0.00
346.85%112.38K
100.00%0.00
100.00%0.00
-608.60%-35.20K
-105.89%-45.52K
-101.16%-31.07K
-102.76%-5.11K
-100.11%-4.97K
-80.27%773.55K
801.12%2.67M
-93.67%185.26K
--4.42M
-37.46%3.92M
---380.67K
--2.93M
-100.00%0.00
--6.27M
--0.00
--0.00
898949045.47%7.17M
--0.00
---0.80
Change in working capital
80.54%-582.17K
194.03%574.77K
-124.59%-865.36K
153.88%974.36K
34.76%-2.99M
-124.89%-611.26K
175.71%3.52M
-34.46%-1.81M
-449.39%-4.59M
84.74%2.46M
-83.42%-4.65M
-792.60%-1.35M
632.96%1.31M
15.82%1.33M
-359.75%-2.53M
-88.19%194.20K
54.73%-246.23K
-30.75%1.15M
27.67%975.86K
291.78%1.64M
-181.96%-543.95K
159.21%1.66M
1524.92%764.38K
82.46%419.73K
1952.31%663.66K
-150.25%-2.80M
---53.64K
--230.04K
218.73%32.34K
-471.52%-1.12M
---27.24K
--301.03K
-Change in receivables
-277.83%-2.98M
-727.28%-1.29M
-96.00%-1.50M
189.00%791.07K
80.06%-787.69K
-94.49%205.92K
82.34%-764.54K
37.60%-888.81K
-377.92%-3.95M
603.83%3.73M
-523.13%-4.33M
-298.59%-1.42M
-431.10%-826.56K
-147.36%-741.13K
63.38%-694.71K
126.91%717.24K
-86.42%249.64K
294.84%1.56M
2.99%-1.90M
-25.17%-2.67M
69.46%1.84M
-204.79%-803.13K
---1.96M
---2.13M
--1.08M
--766.40K
----
----
----
----
----
----
-Change in prepaid expenses
-19.84%-1.23M
-423.81%-75.09K
-29.49%430.38K
-98.95%7.60K
18.49%-1.03M
114.15%23.19K
313.30%610.34K
417.23%720.98K
-122.92%-1.26M
-655.84%-163.93K
-77.96%147.67K
-310.65%-227.27K
34.01%-565.08K
104.28%29.49K
402.13%670.13K
166.13%107.89K
-644.26%-856.27K
-77558.38%-689.68K
295.16%133.46K
130.99%40.54K
-20.37%-115.05K
-99.24%890.39
--33.77K
---130.83K
---95.58K
--117.70K
----
----
----
----
----
----
-Change in payables and accrued expense
407.95%3.62M
331.03%1.94M
-97.60%97.69K
109.88%175.69K
-231.72%-1.18M
22.40%-840.37K
1646.08%4.06M
-578.78%-1.78M
-58.40%893.52K
-156.26%-1.08M
86.29%-262.84K
152.65%371.28K
734.68%2.15M
3080.25%1.92M
-175.81%-1.92M
-173.11%-705.16K
-75.33%257.31K
-102.63%-64.58K
-5.89%2.53M
--964.53K
-21.36%1.04M
166.78%2.46M
--2.69M
----
--1.33M
---3.68M
----
----
----
----
----
----
-Change in other current liabilities
----
----
126.96%105.06K
-100.00%0.00
100.00%0.00
100.00%0.00
-89.84%-389.66K
311.71%136.88K
-148.30%-268.69K
-127.46%-31.88K
65.42%-205.26K
-187.10%-64.66K
458.02%556.26K
-65.56%116.07K
-380.47%-593.64K
--74.23K
--99.68K
--336.98K
--211.66K
----
----
----
----
----
----
----
----
----
----
----
----
----
Cash from non-recurring investing activities
Cash from operating activities
341.24%2.22M
52.19%3.79M
-57.96%2.14M
522.93%5.73M
20.27%-918.67K
-56.48%2.49M
373.50%5.10M
347.08%919.74K
-132.27%-1.15M
57.59%5.73M
11.44%-1.86M
668.87%205.72K
620.61%3.57M
53.41%3.64M
-797.64%-2.11M
-99.11%26.76K
-241.74%-685.87K
5.31%2.37M
-112.52%-234.61K
555.17%3.01M
13.45%483.88K
190.97%2.25M
580.07%1.87M
213.11%458.80K
143.64%426.51K
-25.41%-2.47M
---390.34K
---405.64K
-448.12%-977.41K
-6659.45%-1.97M
---178.32K
--30.07K
Investing cash flow
Net cash from continuing investing activities
10.44%3.15M
3.41%2.64M
38.37%3.97M
12.09%2.84M
69.70%2.85M
35.58%2.55M
23.17%2.87M
2.74%2.53M
6.70%1.68M
53.82%1.88M
131.85%2.33M
316.44%2.47M
110.06%1.58M
148.13%1.22M
67.34%1.00M
-25.50%592.09K
77.46%750.62K
53.10%493.46K
558.12%600.14K
-5.63%794.76K
23.44%422.98K
41.80%322.32K
-74.47%91.19K
5756.70%842.19K
--342.65K
1747.65%227.31K
--357.18K
--14.38K
-100.00%0.00
613.15%12.30K
--994.73
--1.73K
Capital expenditures
10.44%3.15M
3.41%2.64M
38.37%3.97M
12.09%2.84M
69.70%2.85M
35.58%2.55M
23.17%2.87M
2.74%2.53M
6.70%1.68M
53.82%1.88M
131.85%2.33M
316.44%2.47M
110.06%1.58M
148.13%1.22M
67.34%1.00M
-25.50%592.09K
77.46%750.62K
53.10%493.46K
466.17%600.14K
-5.63%794.76K
23.44%422.98K
41.80%322.32K
-70.32%106.00K
5756.70%842.19K
--342.65K
1747.65%227.31K
--357.18K
--14.38K
-100.00%0.00
613.15%12.30K
--994.73
--1.73K
Net cash flow from disposal of fixed assets
-68.14%119.35K
-31.16%71.51K
419.54%350.20K
198.14%148.15K
634.44%374.61K
-23.96%103.89K
-74.71%67.41K
-51.23%49.69K
-28.65%51.01K
79.49%136.61K
474.03%266.56K
462.09%101.88K
133.08%71.49K
512.84%76.11K
-11.89%46.44K
-78.54%18.13K
-27.48%30.67K
26.80%12.42K
596.92%52.70K
287.35%84.46K
51.32%42.30K
-73.41%9.79K
-84.55%7.56K
276.35%21.80K
--27.95K
199.42%36.84K
--48.96K
--5.79K
-100.00%0.00
613.15%12.30K
--994.73
--1.73K
Net cash flow from intangible asset transactions
22.31%3.03M
4.87%2.57M
29.19%3.62M
8.37%2.69M
52.05%2.48M
40.24%2.45M
35.83%2.80M
5.07%2.48M
8.37%1.63M
52.12%1.75M
115.26%2.06M
311.84%2.36M
109.08%1.51M
138.72%1.15M
74.97%957.84K
-19.19%573.97K
89.12%719.95K
53.92%481.04K
554.61%547.43K
-13.42%710.30K
20.97%380.68K
64.08%312.53K
-72.87%83.63K
9454.60%820.39K
--314.70K
--190.48K
--308.22K
--8.59K
--0.00
--0.00
----
----
Net cash flow from business transactions
----
----
----
----
----
----
-100.00%0.00
----
----
----
--9.29K
125.63%13.71K
-17.28%-8.08M
----
--0.00
---53.51K
---6.89M
----
----
----
----
----
--0.00
----
----
----
--0.00
--0.00
--0.00
--1.59M
--0.00
--0.00
Net cash flow from other investing activities
---21.47K
---312.86K
----
----
----
----
--0.00
--0.00
100.00%0.00
100.00%0.00
100.00%0.00
--0.00
---457.35K
96.47%-336.79K
-141.25%-1.08M
--0.00
--0.00
---9.54M
-67982.81%-447.98K
--0.00
--0.00
100.00%0.00
--659.93
--0.00
--0.00
---574.12K
----
----
----
----
----
----
Cash from non-current investing activities
Net cash flow from investing activities
-17.21%-3.35M
-15.66%-2.95M
-38.37%-3.97M
-12.09%-2.84M
-69.70%-2.85M
-35.58%-2.55M
-23.67%-2.87M
-3.32%-2.53M
83.36%-1.68M
-20.64%-1.88M
-11.23%-2.32M
-279.80%-2.45M
-32.39%-10.11M
84.44%-1.56M
-98.93%-2.09M
18.77%-645.61K
-1705.43%-7.64M
-3012.50%-10.03M
-1057.76%-1.05M
5.63%-794.76K
-23.44%-422.98K
59.78%-322.32K
74.65%-90.53K
-5756.70%-842.19K
---342.65K
-150.86%-801.44K
---357.18K
---14.38K
100.00%0.00
91436.52%1.58M
---994.73
---1.73K
Financing cash flow
Cash flow from continuous financing activities
-165.20%-3.97M
52.74%-274.43K
98.06%-27.65K
-4.86%-1.20M
748.95%6.09M
-284.07%-580.65K
-400.99%-1.42M
-114.16%-1.14M
-40.05%-938.15K
-412.61%-151.18K
-411.70%-284.20K
32345.52%8.07M
-234.63%-669.87K
-100.29%-29.49K
-100.29%-55.54K
19.90%-25.03K
884.24%497.57K
37598.66%10.02M
75864.73%19.34M
80.89%-31.25K
20.94%-63.45K
-41.57%-26.71K
-101.72%-25.53K
---163.53K
-327.64%-80.25K
-100.75%-18.87K
--1.48M
--0.00
9813.40%35.25K
9575.12%2.51M
---362.95
--25.93K
Net cash flow from debt Issuance/repayment
-168.41%-3.98M
47.04%-307.50K
95.47%-71.88K
12.06%-1.22M
718.44%5.82M
-281.77%-580.65K
-458.17%-1.59M
-117.19%-1.39M
-38.63%-940.89K
-399.58%-152.09K
-411.70%-284.20K
23466.65%8.07M
-1842.85%-678.68K
-26.80%-30.44K
6.66%-55.54K
-10.48%-34.52K
44.94%-34.93K
10.11%-24.01K
86.26%-59.50K
80.89%-31.25K
20.94%-63.45K
-41.57%-26.71K
-126.49%-433.17K
---163.53K
---80.25K
---18.87K
---191.26K
--0.00
----
----
--0.00
--25.93K
Net cash flow from common stock issuance/repurchase
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
----
----
-100.00%0.00
--0.00
--0.00
--1.08M
--10.83M
----
----
----
-100.00%0.00
----
----
----
--1.67M
--0.00
--0.00
--2.38M
--0.00
--0.00
Proceeds from stock option exercised by employees
-95.85%11.16K
--33.07K
-72.78%44.24K
-91.43%20.89K
9754.75%269.28K
----
--162.51K
6120.89%243.77K
-69.00%2.73K
-4.27%910.75
--0.00
-58.73%3.92K
-98.34%8.81K
--951.38
-100.00%0.00
--9.49K
--532.50K
----
--15.30K
----
----
----
----
----
----
----
--0.00
--0.00
--0.00
--41.52K
--0.00
--0.00
Proceeds from issuance of warrants
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
----
----
-100.00%0.00
--0.00
--0.00
--8.96M
--8.56M
----
----
----
----
----
----
----
--0.00
--0.00
--35.25K
--87.76K
--0.00
--0.00
Net cash flow from other financing activities
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
58573212.54%407.65K
----
----
----
--0.70
----
----
----
---362.95
----
Net cash from non-recurrent financing activities
Net cash from financing activities
-165.20%-3.97M
52.74%-274.43K
98.06%-27.65K
-4.86%-1.20M
748.95%6.09M
-284.07%-580.65K
-400.99%-1.42M
-114.16%-1.14M
-40.05%-938.15K
-412.61%-151.18K
-411.70%-284.20K
32345.52%8.07M
-234.63%-669.87K
-100.29%-29.49K
-100.29%-55.54K
19.90%-25.03K
884.24%497.57K
37598.66%10.02M
75864.73%19.34M
80.89%-31.25K
20.94%-63.45K
-41.57%-26.71K
-101.72%-25.53K
---163.53K
-327.64%-80.25K
-100.75%-18.87K
--1.48M
--0.00
9813.40%35.25K
9575.12%2.51M
---362.95
--25.93K
Net cash flow
Beginning cash balance
30.88%9.29M
14.68%9.36M
46.61%10.66M
2.31%10.30M
-48.48%7.10M
-20.63%8.16M
-54.43%7.27M
-6.93%10.07M
-23.61%13.77M
-32.49%10.28M
-13.68%15.96M
-40.20%10.82M
-29.72%18.03M
-29.54%15.23M
320.51%18.49M
761.51%18.10M
1119.44%25.66M
3458.88%21.61M
651.87%4.40M
77.58%2.10M
27.64%2.10M
-87.67%607.25K
-39.91%584.73K
-13.72%1.18M
-27.57%1.65M
2413.58%4.92M
--973.05K
--1.37M
909.83%2.28M
0.27%195.88K
--225.37K
--195.36K
Current period cash flow changes
-298.59%-5.64M
131.97%311.08K
-219.55%-1.02M
125.41%682.81K
171.24%2.84M
-127.86%-973.01K
115.51%849.49K
-144.70%-2.69M
44.70%-3.99M
52.58%3.49M
-39.90%-5.48M
1153.77%6.01M
7.43%-7.21M
-31.06%2.29M
-122.00%-3.91M
-125.16%-570.52K
---7.79M
106.58%3.32M
38150.44%17.79M
760.34%2.27M
100.00%0.00
148.98%1.61M
-92.45%46.51K
19.22%-343.42K
43.46%-474.30K
-247.11%-3.28M
--616.38K
---425.13K
-390.03%-838.89K
6291.55%2.23M
---171.19K
--34.90K
Effect of exchange rate changes
-203.19%-544.39K
23.01%-255.65K
1957.37%835.87K
-1553.67%-1.01M
343.37%527.57K
-64.98%-332.07K
104.03%40.63K
-62.92%69.38K
-4327.03%-216.78K
-227.45%-201.28K
-498.12%-1.01M
1567.57%187.11K
84.88%-4.90K
-83.65%157.93K
196.99%253.12K
-81.80%11.22K
35.13%-32.38K
7851.15%966.22K
-15.58%-260.97K
-69.57%61.66K
89.56%-49.91K
-104.94%-12.47K
-93.63%-225.79K
4063.25%202.60K
-577.92%-477.91K
132.88%252.47K
---116.61K
---5.11K
1078.28%100.00K
659.63%108.41K
--8.49K
---19.37K
Ending cash balance
-63.35%3.64M
34.54%9.67M
18.77%9.65M
48.79%10.99M
1.57%9.94M
-47.82%7.19M
-22.52%8.12M
-56.13%7.38M
-9.55%9.78M
-21.38%13.77M
-28.07%10.48M
-3.95%16.83M
-39.44%10.82M
-29.74%17.52M
-34.32%14.57M
301.20%17.53M
749.06%17.86M
1025.87%24.93M
3414.95%22.19M
420.36%4.37M
79.20%2.10M
34.83%2.21M
-60.23%631.25K
-11.96%839.47K
-18.57%1.17M
-29.85%1.64M
--1.59M
--953.54K
2500.24%1.44M
914.24%2.34M
--55.44K
--230.85K
Free cash flow
75.17%-936.80K
2014.07%1.15M
-181.69%-1.82M
279.10%2.89M
-33.13%-3.77M
-101.57%-60.29K
153.24%2.23M
28.60%-1.61M
-242.16%-2.83M
59.50%3.85M
-34.82%-4.19M
-299.76%-2.26M
238.81%1.99M
28.50%2.41M
-272.60%-3.11M
-125.57%-565.34K
-2458.43%-1.44M
-2.67%1.88M
-147.22%-834.75K
676.73%2.21M
-27.37%60.91K
171.37%1.93M
336.51%1.77M
8.72%-383.39K
108.58%83.86K
-36.09%-2.70M
---747.52K
---420.02K
-445.08%-977.41K
-7102.12%-1.98M
---179.31K
--28.34K
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Audit opinions
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