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Esports Entertainment Group Inc.

NAS: GMBL

GO
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After Hours

 --Quotes are delayed by 20 min

May 16, 2022, 7:19 p.m.

/zigman2/quotes/208107430/composite

$

0.48

Change

+0.02 +4.35%

Volume

Volume 2,068

Quotes are delayed by 20 min

/zigman2/quotes/208107430/composite

Today's close

$ 0.46

$ 0.46

Change

-0.0041 -0.88%

Day low

Day high

$0.45

$0.49

Open

52 week low

52 week high

$0.37

$13.74

Open

Annual Financials for Esports Entertainment Group Inc.

Operating Activities

Fiscal year is July-June. All values USD millions. 20172018201920202021 5-year trend
Net Income before Extraordinaries (837,932)(2.03M)(6.38M)(10.35M)(26.37M)
Depreciation, Depletion & Amortization 66512,11551,24320,6313.58M
Depreciation and Depletion 6658,583-8,537273,925
Amortization of Intangible Assets -3,532-12,0943.3M
Deferred Taxes & Investment Tax Credit ----(4.14M)
Deferred Taxes ----(4.14M)
Investment Tax Credit -----
Other Funds 308,917400,1113.72M6.07M7.9M
Funds from Operations (528,350)(1.62M)(2.61M)(4.26M)(19.03M)
Extraordinaries -----
Changes in Working Capital 46,028245,978252,527147,551257,331
Receivables (302)(14,826)--(2.17M)
Accounts Payable ----4.31M
Other Assets/Liabilities 46,326224,00355,930(103,724)(1.88M)
Net Operating Cash Flow (482,322)(1.37M)(2.36M)(4.11M)(18.77M)

Investing Activities

20172018201920202021 5-year trend
Capital Expenditures (103,624)(80,814)--(792,619)
Capital Expenditures (Fixed Assets) (103,624)(2,645)--(62,385)
Capital Expenditures (Other Assets) -(78,169)--(730,234)
Net Assets from Acquisitions ---(500,000)(55.34M)
Sale of Fixed Assets & Businesses -----
Purchase/Sale of Investments -----
Purchase of Investments -----
Sale/Maturity of Investments -----
Other Uses (3,554)-(12,134)--
Other Sources -----
Net Investing Cash Flow (107,178)(80,814)(12,134)(500,000)(56.13M)

Financing Activities

20172018201920202021 5-year trend
Cash Dividends Paid - Total -----
Common Dividends -----
Preferred Dividends -----
Change in Capital Stock 1.17M753,405318,52915.99M53.92M
Repurchase of Common & Preferred Stk. -----
Sale of Common & Preferred Stock 1.17M753,405318,52915.99M53.92M
Proceeds from Stock Options 1.17M651,485-9.3M27.34M
Other Proceeds from Sale of Stock -101,920318,5296.69M26.58M
Issuance/Reduction of Debt, Net (60,000)-1.99M930,00032.32M
Change in Current Debt (60,000)-1.99M930,000(108,363)
Change in Long-Term Debt ----32.43M
Issuance of Long-Term Debt ----32.52M
Reduction in Long-Term Debt ----(83,659)
Other Funds (18,745)251,924---
Other Uses (18,745)----
Other Sources -251,924---
Net Financing Cash Flow 1.09M1.01M2.31M16.92M86.25M
Exchange Rate Effect ----(332,879)
Miscellaneous Funds -----
Net Change in Cash 498,188(445,943)(56,755)12.31M11.01M
Free Cash Flow (585,950)(1.37M)(2.36M)(4.11M)(18.84M)
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