Simplicity Esports and Gaming Company (WINR)
OTCMKTS: WINR · Delayed Price · USD
0.0006
0.00 (0.00%)
Feb 7, 2024, 1:00 AM EDT - Market closed

WINR Balance Sheet

Millions USD. Fiscal year is Jun - May.
Year 2023202220212020201920182017
Cash & Equivalents
00.10.410.161.540.460.03
Cash & Cash Equivalents
00.10.410.161.540.460.03
Cash Growth
--75.03%158.57%-89.60%236.23%1426.88%-
Receivables
00.060.160.13000
Inventory
00.120.210.02000
Other Current Assets
00.230.050.01000.03
Total Current Assets
00.510.830.311.540.460.06
Property, Plant & Equipment
00.732.110.720.2200
Long-Term Investments
000.020000
Goodwill
01.475.185.164.4600
Intangible Assets
01.011.642.141.5300
Other Long-Term Assets
00.110.430.260.0152.90
Total Long-Term Assets
03.329.378.286.2152.90
Total Assets
03.8310.218.597.7553.360.06
Accounts Payable
00.780.440.13000
Deferred Revenue
00.030.030000
Current Debt
02.172.61.341.130.080.03
Other Current Liabilities
01.841.171.50.690.160
Total Current Liabilities
04.814.242.971.820.250.03
Long-Term Debt
02.711.20.340.0700
Other Long-Term Liabilities
00.150.180.3701.820
Total Long-Term Liabilities
02.861.380.70.071.820
Total Liabilities
07.675.623.681.892.070.03
Total Debt
04.883.81.681.190.080.03
Debt Growth
-28.36%125.79%40.88%1363.75%166.10%-
Common Stock
0000046.290
Retained Earnings
0-29.84-12.29-6.2-3.57-0.01-0
Comprehensive Income
00.0600000
Shareholders' Equity
0-3.774.424.945.8751.290.02
Total Liabilities and Equity
03.8310.218.597.7553.360.06
Net Cash / Debt
0-4.77-3.39-1.520.350.38-0
Net Cash / Debt Growth
-----8.23%--
Net Cash Per Share
--3.00-2.72-1.580.771.47-0.00
Working Capital
0-4.31-3.4-2.66-0.280.220.02
Book Value Per Share
--2.373.555.1113.16200.090.01
Sources: The data provider is Financial Modeling Prep and the numbers are sourced from SEC filings.