Betmakers Technology Group Ltd

  • IPO date:
  • Sector: Consumer Cyclical
  • GIC Group: Consumer Services
  • Industry: Gambling
  • Company website

Company description

Betmakers Technology Group Ltd, together with its subsidiaries, develops and provides software, data, and analytics products for the B2B wagering market in Australia, New Zealand, the United States, the United Kingdom, and internationally. It operates through Global Racing Network, Global Betting Services, and Global Tote segments. The company assists racing bodies and rights holders in producing and distributing race content, including barrier technology, official price calculation, vision, and pricing distribution. In addition, it provides racing software, data, and analytical tools, including basic race data consisting of pricing, runners, and form; analytical tools to consume and leverage the data; and wagering tools. Further, the company offers tote software and integrations to facilitate tote liquidity and resulting. Betmakers Technology Group Ltd was incorporated in 2013 and is headquartered in Melbourne, Australia.

Financial highlights

Market Capitalization$93.4106 million
P/E Ratio0
P/E Growth Ratio
Book Value0.16
Dividend Per Share0
Earnings Per Share-0.04
EBITDA-40,779
Profit Margin-0.4081
Operating Margin TTM-0.5532
Return on Assets TTM-0.1555
Return on Equity TTM-0.2282
Revenue TTM95,027

Income statement highlights

All numbers are in thousands

Date Total Revenue Cost of Revenue Gross Profit Total Operating Expenses
2015-06-30 1,127.52 349.25 778.27 3,011.682
2016-06-30 2,884.923 1,041.12 1,843.803 7,764.685
2017-06-30 5,621.636 2,838.404 2,783.232 10,841.602
2018-06-30 12,738.356 11,148.002 1,590.354 6,474.623
2019-06-30 6,158.978 2,240.484 3,918.494 9,157.546
2020-06-30 8,581.606 2,248.623 6,332.983 8,855.341
2021-06-30 19,458.43 9,254.655 10,203.775 28,240.49
2022-06-30 91,682 25,384 66,298 162,045
2023-06-30 95,027 35,851 59,176 111,748

Balance sheet highlights

All numbers are in thousands

Date Cash Total Assets Total Liabilities Short Term Debt Long Term Debt Common Stock
2014-06-30 199.9
2015-06-30 6,494.972 12,875.721 1,180.002 205.536 14,638.584
2016-06-30 2,435.693 10,689.29 2,346.56 14,696.667
2017-06-30 3,267.188 15,129.592 6,089.924 0 22,791.244
2018-06-30 1,456.766 15,922.134 3,190.079 0 32,484.366
2019-06-30 453.104 30,605.033 11,448.716 0 42,417.857
2020-06-30 31,624.87 62,592.324 2,191.597 112.727 84,943.067
2021-06-30 120,607.838 230,296.515 34,894.001 654.529 8,826.309 226,023.254
2022-06-30 87,550 223,060 33,774 1,366 7,615 252,486
2023-06-30 41,041 199,545 48,949 1,401 300,009

Cash flow highlights

All numbers are in thousands

Date Net Income Total Cash Change in Cash Begin period cash End period cash Dividends
2015-06-30 -1,282.461 -1,313.09 381.89 432.387
2016-06-30 -4,537.525 -3,323.69 2,003.306 432.387 2,435.693
2017-06-30 -7,618.257 -6,132.317 831.495 2,435.693 3,267.188
2018-06-30 -5,976.54 -11,411.75 -1,810.422 3,267.188 1,456.766
2019-06-30 -3,604.757 -3,084.184 -1,003.662 1,456.766 453.104
2020-06-30 -2,140.551 -501.151 31,171.766 453.104 31,624.87
2021-06-30 -17,459.039 -2,022.88 88,982.968 31,624.87 120,607.838
2022-06-30 -89,234 -79,552 -33,058 120,608 87,550
2023-06-30 -38,781 -24,264 -46,509 87,550 41,041