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Sector: Technology | Industry: Online Services |
Company Contact | |
Address: | 130 King Street West Suite 1968 Stn 1st Can Place PO Box 36 TORONTO ON M5X 1K6 |
Tel: | N/A |
Website: | https://www.bragg.games |
IR: | See website |
Key People | ||
Yaniv Sherman Chief Executive Officer, Director | Ronen Kannor Chief Financial Officer | Peter Lavric Chief Technology Officer |
Doug Fallon Group Director of Content | Yaniv Spielberg Chief Strategy Officer, Corporate Secretary |
Business Overview |
Bragg Gaming Group Inc. is a Canada-based content-driven business-to-business (B2B) iGaming technology provider serving online and land-based gaming operators with its content and technology. The Company's suite of iGaming content and technology, commercial relationships and operational licenses allows it to offer gaming solutions in regulated online gaming markets globally. Its suite of products includes a player account management (PAM) platform, which provides the tools required to operate an online gaming business, including player engagement and data analysis software. Its Bragg Studios offer casino gaming titles from in-house brands Wild Streak Gaming, Spin Games, Atomic Slot Lab, Indigo Magic and Oryx Gaming. Its content portfolio is complemented by a range of exclusive titles from selected studio partners, which are powered by Bragg: games built on Bragg remote games server (Bragg RGS) technology, distributed via the Bragg Hub content delivery platform. |
Financial Overview |
For the nine months ended 30 September 2023, Bragg Gaming Group Inc revenues increased 15% to EUR70.2M. Net loss increased 16% to EUR3.1M. Revenues reflect other segment increase from EUR2.1M to EUR6.3M, Malta segment increase of 39% to EUR13.7M. Higher net loss reflects Salaries and subcontractors increase of 30% to EUR17.4M (expense), Depreciation/Amortization in SGA increase of 57% to EUR9.3M (expense). |
Employees: | 428 as of Dec 31, 2022 |
Reporting Currency: | Euro |
Enterprise value: | $186.07M as of Dec 31, 2023 |
Annual revenue (TTM): | $137.83M as of Dec 31, 2023 |
EBITDA (TTM): | $17.13M as of Dec 31, 2023 |
Net annual income (TTM): | -$5.74M as of Dec 31, 2023 |
Free cash flow (TTM): | -$7.17M as of Dec 31, 2023 |
Net Debt Last Fiscal Year: | N/A |
Shares outstanding: | 23,113,489 as of Mar 14, 2024 |
TTM: Trailing Twelve Months EBITDA: Earnings Before Interest, Taxes, Depreciation, & Amortization |