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Annual figures as reported in 10-K / 20-F / 40-F filings.
BRAG · CIK 0001867834

Bragg Gaming Group Inc.

Annual figures as reported, FY2019–FY2025. Ratios and growth rates derived on-page.

BRAG logo
Services-Computer Rental & Leasing
Company profile
Nasdaq · BRAGHQ TorontoIncorporated in A6Fiscal year ends Dec 31 Emerging growth companyReports in EUR
Revenue
€106.1M
▲ +4.0% vs FY2024
Net income
−€8.1M
▼ −57.7% vs FY2024
Free cash flow
€17.6M
▲ +73.9% vs FY2024
Diluted EPS
−€0.32
▼ −52.4% vs FY2024

Revenue

Annual, as reported

050M100M’20’21’22’23’24’25€106.1M

Net income

Losses shown in terracotta

−10M−5M0’20’21’22’23’24’25−€8.1M

Profitability & returns

quality of earnings

Margins

Share of revenue kept at each line

-25%0%25%50%’20’21’22’23’24’25
Gross marginOperating marginNet margin

Returns on capital

Net income vs year-end equity and assets

-30%-20%-10%0%’20’21’22’23’24’25
Return on equityReturn on assets

Cash flow

cash generation

Free cash flow

Operating cash flow less capital expenditure

05M10M15M’20’21’22’23’24’25€17.6M

Operating cash flow

Net cash from operations

05M10M15M’20’21’22’23’24’25€17.9M

Shareholder returns

capital allocation

Diluted shares outstanding

Falling count means buybacks outpace dilution

010M20M’20’21’22’23’24’2525M

Balance sheet

financial position

Stockholders’ equity

At fiscal year end

020M40M60M’19’21’23’25€62.7M

Net debt

Long-term debt less cash — negative means net cash

−4M−2M0’22’23’24’25−€3.1M

Growth rates

compounding, annualized
Revenue CAGR
+7.8%
3y
+18.0%
5y
Free cash flow CAGR
+50.0%
3y
+22.0%
5y
Share count change (split-adjusted)
+194.2%
5y

Key ratios

derived per fiscal year
Fiscal yearGross marginOp. marginNet marginFCF marginROEROACurrent ratioDebt / equity
FY202555.0%−5.0%−7.7%16.6%−12.9%−8.2%0.97×0.06×
FY202453.0%−3.5%−5.0%9.9%−7.0%−4.8%1.14×0.09×
FY202353.4%−0.8%−4.1%12.2%−5.5%−3.7%1.04×0.04×
FY202253.2%−1.0%−4.1%6.1%−5.0%−3.3%1.22×0.13×
FY202148.6%−10.9%−12.9%−0.0%−11.3%−9.0%1.76×—
FY202043.5%−25.6%−31.4%14.0%−36.5%−20.2%1.23×—
FY2019————————

Annual figures

as reported
Fiscal yearRevenueGross profitOp. incomeNet incomeDiluted EPSOp. cash flowCapexTotal assetsLiabilitiesEquityCashLT debt
FY2025€106.1M€58.3M−€5.3M−€8.1M−€0.32€17.9M€364K€99.3M€36.6M€62.7M€6.7M€3.5M
FY2024€102.0M€54.0M−€3.5M−€5.1M−€0.21€11.2M€1.1M€106.6M€33.1M€73.5M€10.5M€6.6M
FY2023€93.5M€49.9M−€777K−€3.8M−€0.17€11.7M€332K€103.4M€33.1M€70.2M€8.8M€2.9M
FY2022€84.7M€45.1M−€828K−€3.5M−€0.16€5.8M€544K€104.4M€34.9M€69.5M€11.3M€8.8M
FY2021€58.3M€28.3M−€6.3M−€7.5M−€0.39€115K€123K€83.4M€17.2M€66.2M€16.0M—
FY2020€46.4M€20.2M−€11.9M−€14.6M−€1.70€6.7M€223K€72.1M€32.2M€39.9M€26.1M—
FY2019—————————€6.6M€682K—

Latest filings

the most recent regulatory filings
6-KForeign issuer report2026-06-29 ↗6-KForeign issuer report2026-06-25 ↗6-KForeign issuer report2026-06-22 ↗6-KForeign issuer report2026-05-26 ↗6-KForeign issuer report2026-05-14 ↗6-KForeign issuer report2026-05-11 ↗6-KForeign issuer report2026-05-05 ↗6-KForeign issuer report2026-05-01 ↗6-KForeign issuer report2026-04-13 ↗40-FAnnual report (foreign issuer)2026-03-31 ↗

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