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Lottery.com Inc

LTRY
1.370USD
0.000
Close 12/19, 16:00ETQuotes delayed by 15 min
36.58MMarket Cap
LossP/E TTM
You can check out the annual or quarterly balance sheets of Lottery.com Inc here to evaluate the financial health, analyze fundamentals, and calculate key ratios for liquidity, leverage, and return on equity.
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
Total equity
Cash, cash equivalents and short-term investments
430.27%320.64K
839.36%262.57K
457.62%468.68K
-81.09%68.03K
-5.13%60.47K
-48.58%27.95K
105.43%84.05K
250.14%359.83K
-46.60%63.73K
-85.28%54.36K
-99.92%40.91K
-99.69%102.77K
-89.88%119.36K
--369.32K
--50.80M
--32.64M
--1.18M
- Cash and cash equivalents
430.27%320.64K
839.36%262.57K
457.62%468.68K
-81.09%68.03K
-5.13%60.47K
-48.58%27.95K
105.43%84.05K
250.14%359.83K
-46.60%63.73K
-85.28%54.36K
-99.92%40.91K
-99.69%102.77K
-89.88%119.36K
--369.32K
--50.80M
--32.64M
--1.18M
Receivables
75.42%762.12K
141.72%580.45K
98.77%487.13K
788.95%494.13K
206.84%434.46K
41.69%240.13K
66.88%245.07K
-73.36%55.59K
-38.87%141.59K
-16.12%169.48K
-99.59%146.86K
163.51%208.65K
-99.30%231.63K
--202.06K
--35.80M
--79.18K
--33.07M
-Accounts and notes receivable
75.42%762.12K
141.72%580.45K
98.77%487.13K
788.95%494.13K
206.84%434.46K
41.69%240.13K
66.88%245.07K
-73.36%55.59K
-38.87%141.59K
-16.12%169.48K
-99.59%146.86K
163.51%208.65K
-99.30%231.63K
--202.06K
--35.80M
--79.18K
--33.07M
Prepaid expenses
-25.09%14.42M
-24.10%14.46M
-24.53%14.37M
-24.03%14.45M
-0.66%19.25M
-1.77%19.05M
-1.85%19.04M
-2.01%19.02M
-1.44%19.38M
-5.99%19.39M
51.09%19.40M
-15.23%19.41M
81.77%19.66M
--20.63M
--12.84M
--22.90M
--10.82M
Other current assets
318.65%3.23M
61.38%1.89M
25.44%1.13M
-2.94%880.96K
0.42%770.67K
53.79%1.17M
21.41%901.04K
26.31%907.63K
-97.47%767.42K
-97.49%760.18K
200.95%742.13K
217.66%718.55K
12588.91%30.28M
--30.26M
--246.60K
--226.20K
--238.63K
Total current assets
-8.70%18.73M
-16.10%17.19M
-18.82%16.46M
-21.88%15.89M
0.81%20.51M
0.54%20.49M
-0.29%20.27M
-0.47%20.34M
-59.54%20.35M
-60.40%20.38M
-79.60%20.33M
-63.40%20.44M
11.00%50.29M
--51.46M
--99.68M
--55.84M
--45.31M
Non-current assets
Net Fixed Assets
-86.75%1.83K
-82.67%2.66K
-81.47%3.43K
-43.10%12.12K
-42.27%13.82K
-79.14%15.35K
-78.10%18.49K
-80.28%21.31K
-80.48%23.93K
-37.25%73.58K
-30.41%84.41K
-23.50%108.08K
-90.55%122.64K
--117.27K
--121.29K
--141.28K
--1.30M
-Fixed Assets
-0.37%2.16M
-0.06%2.17M
-0.67%2.15M
-0.01%2.17M
-0.03%2.17M
-0.02%2.17M
-0.04%2.17M
0.00%2.17M
0.21%2.17M
4.38%2.17M
6.00%2.17M
6.24%2.17M
-30.24%2.16M
--2.08M
--2.05M
--2.04M
--3.10M
-Accumulated depreciation
0.19%2.16M
0.53%2.16M
0.03%2.15M
0.41%2.15M
0.44%2.15M
2.76%2.15M
3.12%2.15M
4.21%2.15M
5.05%2.14M
6.87%2.10M
8.30%2.08M
8.45%2.06M
13.14%2.04M
--1.96M
--1.92M
--1.90M
--1.80M
Goodwill and other intangible assets
73.99%39.57M
-21.57%20.75M
-20.94%21.84M
-25.18%21.63M
-42.34%22.74M
-35.18%26.45M
-34.52%27.63M
-33.65%28.91M
-12.37%39.44M
-12.79%40.81M
-12.27%42.19M
-9.79%43.57M
-1.64%45.01M
--46.80M
--48.09M
--48.30M
--45.76M
Long-term debt
0.00%2.00M
0.00%2.00M
0.00%2.00M
12.50%2.25M
0.00%2.00M
0.00%2.00M
0.00%2.00M
0.00%2.00M
0.00%2.00M
0.00%2.00M
-69.23%2.00M
--2.00M
--2.00M
--2.00M
--6.50M
----
----
Other non-current assets
0.00%12.88M
0.00%12.88M
0.00%12.88M
0.17%12.91M
0.00%12.88M
0.00%12.88M
0.00%12.88M
-0.96%12.88M
-0.96%12.88M
-0.96%12.88M
--12.88M
--13.01M
--13.01M
--13.01M
----
----
----
Total non-current assets
44.38%54.70M
-13.75%35.88M
-13.56%36.98M
-15.92%37.05M
-30.60%37.89M
-25.73%41.60M
-25.48%42.78M
-25.24%44.07M
-9.59%54.60M
-9.90%56.02M
4.46%57.41M
21.05%58.94M
27.66%60.39M
--62.18M
--54.96M
--48.69M
--47.31M
Total assets
25.73%73.43M
-14.52%53.07M
-15.25%53.44M
-17.80%52.94M
-22.07%58.40M
-18.73%62.09M
-18.89%63.06M
-18.86%64.41M
-32.28%74.95M
-32.77%76.40M
-49.73%77.75M
-24.06%79.38M
19.51%110.68M
--113.63M
--154.64M
--104.53M
--92.61M
Liabilities
Current liabilities
-Other payables
8.06%3.36M
139.75%5.38M
150.52%5.33M
79.37%3.63M
60.67%3.11M
29.90%2.24M
91.87%2.13M
82.65%2.03M
430.30%1.94M
372.45%1.73M
515.26%1.11M
529.30%1.11M
-89.36%365.38K
--365.38K
--180.28K
--176.26K
--3.44M
Accrued expenses
-5.61%11.98M
8.93%12.83M
-0.21%11.27M
10.05%12.50M
50.86%12.70M
62.15%11.78M
122.50%11.29M
145.51%11.36M
136.51%8.42M
122.67%7.27M
24.34%5.08M
4.77%4.63M
-28.72%3.56M
--3.26M
--4.08M
--4.42M
--4.99M
Short-term debt and lease liabilities
-10.47%5.74M
-24.47%5.28M
-7.64%6.21M
1.40%6.11M
38.59%6.41M
57.77%6.99M
40.82%6.73M
60.47%6.03M
40.53%4.63M
34.61%4.43M
37.37%4.78M
-0.42%3.76M
-74.66%3.29M
--3.29M
--3.48M
--3.77M
--12.99M
-Short-term debt
-10.47%5.74M
-24.47%5.28M
-7.64%6.21M
1.40%6.11M
38.59%6.41M
57.77%6.99M
40.82%6.73M
60.47%6.03M
40.53%4.63M
34.61%4.43M
37.37%4.78M
-0.42%3.76M
-19.27%3.29M
--3.29M
--3.48M
--3.77M
--4.08M
Deferred liabilities
-38.71%169.64K
-35.29%196.43K
-32.41%223.21K
-30.00%250.00K
-27.91%276.79K
-26.09%303.57K
-24.51%330.26K
-23.08%357.14K
-21.82%383.93K
-20.69%410.71K
-19.67%437.50K
-60.06%464.29K
-17.91%491.07K
--517.86K
--544.64K
--1.16M
--598.21K
Other current liabilities
4.24%3.53M
118.88%5.57M
125.95%5.55M
62.98%3.88M
46.03%3.39M
19.14%2.55M
58.95%2.46M
51.46%2.38M
171.06%2.32M
141.95%2.14M
113.36%1.55M
17.55%1.57M
-78.77%856.45K
--883.23K
--724.92K
--1.34M
--4.03M
Total current liabilities
-2.54%29.95M
10.21%32.40M
10.86%31.53M
10.49%30.74M
32.57%30.73M
35.91%29.40M
49.60%28.44M
58.39%27.82M
55.46%23.18M
77.76%21.63M
75.33%19.01M
66.76%17.56M
-40.36%14.91M
--12.17M
--10.84M
--10.53M
--25.00M
Non-current liabilities
Long-term debt and lease liabilities
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-100.00%0.00
--0.00
--0.00
--0.00
--31.57M
-Long-term debt
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
----
----
----
--0.00
--31.57M
Other non-current liabilities
--0.00
--2.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
1775.00%30.00M
--30.00M
--1.52K
--1.17K
--1.60M
Total non-current liabilities
--0.00
--2.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-100.00%0.00
-9.55%30.00M
--30.00M
--1.52K
--1.17K
--33.17M
Total liabilities
-2.54%29.95M
10.21%32.40M
10.86%31.53M
10.49%30.74M
32.57%30.73M
35.91%29.40M
49.60%28.44M
58.39%27.82M
-48.39%23.18M
-48.71%21.63M
75.31%19.01M
66.74%17.56M
-22.80%44.91M
--42.17M
--10.85M
--10.53M
--58.17M
Shareholders' equity
Common equity
10.00%308.34M
4.74%290.66M
4.93%286.82M
5.28%283.93M
4.33%280.32M
3.42%277.50M
2.01%273.35M
0.78%269.69M
0.40%268.67M
0.40%268.32M
1.86%267.96M
11.78%267.60M
116.90%267.60M
--267.24M
--263.07M
--239.41M
--123.37M
Retained earnings
-8.07%-275.44M
-9.76%-270.88M
-10.78%-266.78M
-12.15%-263.69M
-16.37%-254.88M
-14.43%-246.78M
-13.89%-240.82M
-12.94%-235.13M
-7.21%-219.03M
-8.76%-215.67M
-73.43%-211.45M
-40.49%-208.19M
-123.09%-204.30M
---198.30M
---121.92M
---148.19M
---91.58M
Capital reserves
10.00%308.34M
4.73%290.63M
4.92%286.79M
5.27%283.91M
4.33%280.31M
3.42%277.49M
2.03%273.34M
0.80%269.69M
0.42%268.67M
0.42%268.31M
1.86%267.91M
11.78%267.55M
116.87%267.55M
--267.19M
--263.02M
--239.36M
--123.37M
Gains losses not affecting retained earnings
-108.85%-21.60K
191.94%47.44K
-1193.28%-182.28K
118.41%16.88K
274.45%243.98K
64.35%-51.59K
115.09%16.67K
-2630.84%-91.67K
-1907.59%-139.85K
-1134.89%-144.73K
-6326.59%-110.47K
652.98%3.62K
--7.74K
---11.72K
---1.72K
---655.00
----
Non-controlling interests
432.25%10.60M
-58.36%846.23K
-0.75%2.05M
-8.02%1.95M
-11.90%1.99M
-10.10%2.03M
-11.55%2.06M
-11.66%2.12M
-8.05%2.26M
-10.66%2.26M
-12.01%2.33M
-13.67%2.40M
-7.00%2.46M
--2.53M
--2.65M
--2.78M
--2.64M
Total equity
57.13%43.48M
-36.76%20.67M
-36.71%21.91M
-39.31%22.20M
-46.54%27.67M
-40.30%32.69M
-41.07%34.61M
-40.81%36.59M
-21.29%51.77M
-23.37%54.77M
-59.16%58.73M
-34.24%61.82M
90.96%65.77M
--71.46M
--143.80M
--94.00M
--34.44M
Currency unit
USD
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What is the balance sheet?

It is a financial report that summarises the assets, liabilities, and shareholders’ equity of a company at a specific point in time.
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