Investor Alert

Super League Gaming Inc.



After Hours

 --Quotes are delayed by 20 min

May 13, 2022, 6:55 p.m.





+0.01 +0.84%


Volume 50

Quotes are delayed by 20 min


Previous close

$ 1.09

$ 1.19


+0.10 +9.17%

Day low

Day high




52 week low

52 week high




Annual Financials for Super League Gaming Inc.

Operating Activities

Fiscal year is January-December. All values USD millions. 20172018201920202021 5-year trend
Net Income before Extraordinaries (14.96M)(20.63M)(30.68M)(18.73M)(20.75M)
Depreciation, Depletion & Amortization 1.24M1.11M862,0001.37M3.32M
Depreciation and Depletion 993,887861,214365,000110,00073,000
Amortization of Intangible Assets 243,721244,775497,0001.26M3.25M
Deferred Taxes & Investment Tax Credit ----(38,000)
Deferred Taxes ----(38,000)
Investment Tax Credit -----
Other Funds 5M8.47M15.97M2M(1.91M)
Funds from Operations (8.72M)(11.05M)(13.85M)(15.36M)(19.37M)
Extraordinaries -----
Changes in Working Capital (251,329)367,937203,000484,000(3.34M)
Receivables (113,702)(373,696)199,000(295,000)(4.27M)
Accounts Payable (65,407)430,23840,000977,0001.33M
Other Assets/Liabilities (72,220)(294,577)(223,000)(206,000)(402,000)
Net Operating Cash Flow (8.97M)(10.68M)(13.65M)(14.88M)(22.71M)

Investing Activities

20172018201920202021 5-year trend
Capital Expenditures (437,069)(865,365)(1.66M)(1.19M)(1.29M)
Capital Expenditures (Fixed Assets) (327,351)(254,766)(73,000)(9,000)(22,000)
Capital Expenditures (Other Assets) (109,718)(610,599)(1.59M)(1.18M)(1.27M)
Net Assets from Acquisitions --(1.51M)-(3.5M)
Sale of Fixed Assets & Businesses ----586,000
Purchase/Sale of Investments -----
Purchase of Investments -----
Sale/Maturity of Investments -----
Other Uses -----
Other Sources -----
Net Investing Cash Flow (437,069)(865,365)(3.16M)(1.19M)(4.2M)

Financing Activities

20172018201920202021 5-year trend
Cash Dividends Paid - Total -----
Common Dividends -----
Preferred Dividends -----
Change in Capital Stock 8.24M-22.48M14.37M33.5M
Repurchase of Common & Preferred Stk. -----
Sale of Common & Preferred Stock 8.24M-22.48M14.37M33.5M
Proceeds from Stock Options 8.24M-22.46M14.36M33.39M
Other Proceeds from Sale of Stock --20,00010,000111,000
Issuance/Reduction of Debt, Net -12.61M-1.2M-
Change in Current Debt -12.61M---
Change in Long-Term Debt ---1.2M-
Issuance of Long-Term Debt ---1.2M-
Reduction in Long-Term Debt -----
Other Funds -----
Other Uses -----
Other Sources -----
Net Financing Cash Flow 8.24M12.61M22.48M15.57M33.5M
Exchange Rate Effect -----
Miscellaneous Funds -----
Net Change in Cash (1.16M)1.06M5.67M(500,000)6.59M
Free Cash Flow (9.3M)(10.94M)(13.72M)(14.89M)(22.73M)
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