ESPORTS ENTERTAINMENT GROUP, INC. (GMBLP)

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CIK 0001451448 · OTC · Services-Amusement & Recreation Services

  • Sector Services
  • Incorporated NV
  • Fiscal year ends Jun 30

In fiscal 2023, ESPORTS ENTERTAINMENT GROUP, INC. reported revenue of $22.97M, down 60.6% from the prior year. The company ran a net loss, with a net margin of -140.6%. It held $22.10M in total assets against $9.22M in total liabilities.

Key ratios (FY2023)

-175.5%
Operating margin
-140.6%
Net margin
-673.1%
Return on equity
-60.6%
Revenue growth (YoY)
Metric (FY)2023202220212020201920182017201620152014
Revenue$22.97M$58.35M$16.78M
Cost of Revenue$8.79M$24.16M$7.86M
Operating Income-$40.30M-$89.36M-$25.73M-$4.05M-$3.01M-$2.01M
Net Income-$32.29M-$102.23M-$26.37M-$10.35M-$6.38M-$2.03M$837.9K-$337.7K-$302.1K-$134.5K
EPS (Diluted)$-19.63$-356.27$1.68$0.02$0.01$0.00$0.00$0.00
Total Assets$22.10M$64.86M$119.74M$13.13M$561.8K$609.7K$609.7K$178.8K$163.1K$8.4K
Total Liabilities$9.22M$68.68M$44.95M$1.74M$5.55M$343.6K$343.6K$90.2K$36.1K$123.6K
Shareholders' Equity$4.80M-$11.60M$74.79M$11.39M-$4.99M$266.1K$266.1K$88.6K$127.0K-$115.2K
Cash & Equivalents$1.75M$2.52M$19.92M$12.35M$43.4K$100.2K$0
Operating Cash Flow-$15.75M-$21.01M-$18.88M-$2.27M-$2.02M-$1.37M-$482.3K-$238.9K-$259.2K-$102.7K
Capital Expenditures$3.3K$137.7K$62.4K$2.6K-$20.2K$0
Shares Outstanding3.78M409.2K21.90M11.23M5.85M83.58M83.58M70.11M68.65M63.30M