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INSE Inspired Entertainment

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  • 9.480
  • 0.0000.00%
Close Dec 3 16:00 ET
251.96MMarket Cap-948000P/E (TTM)

Inspired Entertainment Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
35.23%35.7M
-44.18%23.5M
26.98%35.3M
60.00%40M
60.00%40M
-29.41%26.4M
32.39%42.1M
-31.86%27.8M
-47.70%25M
-47.70%25M
-Cash and cash equivalents
35.23%35.7M
-44.18%23.5M
26.98%35.3M
60.00%40M
60.00%40M
-29.41%26.4M
32.39%42.1M
-31.86%27.8M
-47.70%25M
-47.70%25M
Receivables
154.45%74.3M
7.16%41.9M
13.64%37.5M
10.62%64.6M
10.62%64.6M
6.18%29.2M
32.99%39.1M
-1.79%33M
18.46%58.4M
18.46%58.4M
-Accounts receivable
61.64%47.2M
7.16%41.9M
13.64%37.5M
-4.33%39.8M
-4.33%39.8M
6.18%29.2M
36.71%39.1M
0.00%33M
27.22%41.6M
27.22%41.6M
-Other receivables
--27.1M
----
----
42.31%25.9M
42.31%25.9M
----
----
----
0.55%18.2M
0.55%18.2M
-Recievables adjustments allowances
----
----
----
21.43%-1.1M
21.43%-1.1M
----
----
----
22.22%-1.4M
22.22%-1.4M
Inventory
-20.80%31.6M
-36.67%30.4M
-13.15%31.7M
6.60%32.3M
6.60%32.3M
58.33%39.9M
88.98%48M
26.30%36.5M
95.48%30.3M
95.48%30.3M
Prepaid assets
--23M
----
----
----
----
----
----
----
----
----
Restricted cash
--800K
----
----
----
----
----
----
----
----
----
Other current assets
----
21.78%39.7M
27.33%39.6M
18.18%15.6M
18.18%15.6M
36.96%37.8M
27.34%32.6M
8.74%31.1M
14.78%13.2M
14.78%13.2M
Total current assets
24.08%165.4M
-16.25%135.5M
12.23%144.1M
20.17%152.5M
20.17%152.5M
13.25%133.3M
44.21%161.8M
-2.65%128.4M
2.26%126.9M
2.26%126.9M
Non current assets
Net PPE
23.47%82.6M
37.21%76.7M
40.50%78.4M
26.02%77M
26.02%77M
34.34%66.9M
5.08%55.9M
-3.46%55.8M
-13.70%61.1M
-13.70%61.1M
-Gross PPE
23.47%82.6M
37.21%76.7M
40.50%78.4M
16.09%234.5M
16.09%234.5M
34.34%66.9M
5.08%55.9M
-3.46%55.8M
-6.74%202M
-6.74%202M
-Accumulated depreciation
----
----
----
-11.78%-157.5M
-11.78%-157.5M
----
----
----
3.36%-140.9M
3.36%-140.9M
Goodwill and other intangible assets
12.90%103.3M
-25.63%98.1M
-27.55%93.1M
6.33%94M
6.33%94M
-20.37%91.5M
5.94%131.9M
-4.10%128.5M
-10.89%88.4M
-10.89%88.4M
-Goodwill
9.95%61.9M
-25.26%58.3M
-23.09%58.3M
5.95%58.8M
5.95%58.8M
-17.81%56.3M
4.70%78M
-6.07%75.8M
-10.77%55.5M
-10.77%55.5M
-Other intangible assets
17.61%41.4M
-26.16%39.8M
-33.97%34.8M
6.99%35.2M
6.99%35.2M
-24.14%35.2M
7.80%53.9M
-1.13%52.7M
-11.08%32.9M
-11.08%32.9M
Non current accounts receivable
----
----
----
116.67%7.8M
116.67%7.8M
----
----
----
-5.26%3.6M
-5.26%3.6M
Non current deferred assets
37.65%11.7M
--10.3M
--9.7M
34.29%9.4M
34.29%9.4M
--8.5M
----
----
-9.09%7M
-9.09%7M
Non current prepaid assets
----
----
----
0.00%200K
0.00%200K
----
----
----
--200K
--200K
Other non current assets
468.89%25.6M
53.85%6M
52.63%5.8M
----
----
7.14%4.5M
-62.50%3.9M
-55.29%3.8M
----
----
Total non current assets
30.22%223.2M
-0.31%191.1M
-0.58%187M
17.53%188.4M
17.53%188.4M
1.48%171.4M
1.91%191.7M
-6.09%188.1M
-13.16%160.3M
-13.16%160.3M
Total assets
27.54%388.6M
-7.61%326.6M
4.61%331.1M
18.70%340.9M
18.70%340.9M
6.32%304.7M
17.72%353.5M
-4.73%316.5M
-6.96%287.2M
-6.96%287.2M
Liabilities
Current liabilities
Payables
-0.26%37.9M
-25.89%31.2M
41.18%38.4M
42.60%48.2M
42.60%48.2M
30.58%38M
71.14%42.1M
-8.11%27.2M
0.00%33.8M
0.00%33.8M
-accounts payable
-10.17%30.9M
-11.00%26.7M
58.56%35.2M
76.79%41.9M
76.79%41.9M
40.98%34.4M
59.57%30M
-8.64%22.2M
13.94%23.7M
13.94%23.7M
-Total tax payable
94.44%7M
-62.81%4.5M
-36.00%3.2M
-37.62%6.3M
-37.62%6.3M
-23.40%3.6M
108.62%12.1M
-5.66%5M
-17.89%10.1M
-17.89%10.1M
Current accrued expenses
25.00%29.5M
20.00%21M
-35.82%22.4M
-34.83%18.9M
-34.83%18.9M
-11.28%23.6M
-32.17%17.5M
-8.40%34.9M
1.05%29M
1.05%29M
Current debt and capital lease obligation
709.76%33.2M
734.48%24.2M
757.14%24M
400.00%24.5M
400.00%24.5M
10.81%4.1M
-19.44%2.9M
-26.32%2.8M
-7.55%4.9M
-7.55%4.9M
-Current debt
--20.1M
--19M
--18.9M
--19.1M
--19.1M
----
----
----
----
----
-Current capital lease obligation
219.51%13.1M
79.31%5.2M
82.14%5.1M
10.20%5.4M
10.20%5.4M
10.81%4.1M
-19.44%2.9M
-26.32%2.8M
-7.55%4.9M
-7.55%4.9M
Current deferred liabilities
-35.63%5.6M
-84.24%4.9M
-3.92%4.9M
21.43%8.5M
21.43%8.5M
89.13%8.7M
371.21%31.1M
-29.17%5.1M
-33.96%7M
-33.96%7M
Other current liabilities
-8.82%3.1M
68.42%6.4M
37.50%4.4M
200.00%600K
200.00%600K
17.24%3.4M
35.71%3.8M
-20.00%3.2M
--200K
--200K
Current liabilities
40.49%109.3M
-9.96%87.7M
28.55%94.1M
34.45%100.7M
34.45%100.7M
16.29%77.8M
53.63%97.4M
-11.49%73.2M
-8.55%74.9M
-8.55%74.9M
Non current liabilities
Long term provisions
----
----
----
27.27%1.4M
27.27%1.4M
----
----
----
-38.89%1.1M
-38.89%1.1M
Long term debt and capital lease obligation
16.15%342.4M
1.69%306.3M
4.79%306.3M
5.46%307M
5.46%307M
11.58%294.8M
5.02%301.2M
-6.01%292.3M
-10.95%291.1M
-10.95%291.1M
-Long term debt
10.51%312.4M
0.00%294M
2.73%293.3M
6.48%295.6M
6.48%295.6M
9.96%282.7M
5.30%294M
-5.53%285.5M
-10.16%277.6M
-10.16%277.6M
-Long term capital lease obligation
147.93%30M
70.83%12.3M
91.18%13M
-15.56%11.4M
-15.56%11.4M
70.42%12.1M
-5.26%7.2M
-22.73%6.8M
-24.58%13.5M
-24.58%13.5M
Non current deferred liabilities
650.00%12M
157.14%7.2M
150.00%8M
153.57%7.1M
153.57%7.1M
-60.00%1.6M
-42.86%2.8M
-50.00%3.2M
-49.09%2.8M
-49.09%2.8M
Employee benefits
----
----
----
-4.76%2M
-4.76%2M
----
----
----
--2.1M
--2.1M
Other non current liabilities
6.67%3.2M
16.67%2.8M
77.27%3.9M
-12.50%700K
-12.50%700K
42.86%3M
4.35%2.4M
-15.38%2.2M
-38.46%800K
-38.46%800K
Total non current liabilities
19.44%357.6M
3.23%316.3M
6.89%318.2M
6.81%318.2M
6.81%318.2M
10.77%299.4M
4.22%306.4M
-6.97%297.7M
-11.21%297.9M
-11.21%297.9M
Total liabilities
23.78%466.9M
0.05%404M
11.16%412.3M
12.37%418.9M
12.37%418.9M
11.86%377.2M
12.98%403.8M
-7.90%370.9M
-10.69%372.8M
-10.69%372.8M
Shareholders'equity
Share capital
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-common stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-0.06%-508.9M
-6.84%-512.3M
-6.61%-514.3M
1.17%-508.6M
1.17%-508.6M
-4.89%-508.6M
2.18%-479.5M
2.07%-482.4M
1.94%-514.6M
1.94%-514.6M
Paid-in capital
1.14%390.7M
1.28%389M
1.60%387.3M
2.09%386.1M
2.09%386.1M
1.68%386.3M
1.78%384.1M
1.65%381.2M
1.58%378.2M
1.58%378.2M
Gains losses not affecting retained earnings
-19.88%39.9M
1.77%45.9M
-2.14%45.8M
-12.40%44.5M
-12.40%44.5M
-8.46%49.8M
-19.03%45.1M
-0.64%46.8M
15.98%50.8M
15.98%50.8M
Total stockholders'equity
-8.00%-78.3M
-53.88%-77.4M
-49.26%-81.2M
8.88%-78M
8.88%-78M
-43.28%-72.5M
11.91%-50.3M
22.84%-54.4M
21.25%-85.6M
21.25%-85.6M
Total equity
-8.00%-78.3M
-53.88%-77.4M
-49.26%-81.2M
8.88%-78M
8.88%-78M
-43.28%-72.5M
11.91%-50.3M
22.84%-54.4M
21.25%-85.6M
21.25%-85.6M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 35.23%35.7M-44.18%23.5M26.98%35.3M60.00%40M60.00%40M-29.41%26.4M32.39%42.1M-31.86%27.8M-47.70%25M-47.70%25M
-Cash and cash equivalents 35.23%35.7M-44.18%23.5M26.98%35.3M60.00%40M60.00%40M-29.41%26.4M32.39%42.1M-31.86%27.8M-47.70%25M-47.70%25M
Receivables 154.45%74.3M7.16%41.9M13.64%37.5M10.62%64.6M10.62%64.6M6.18%29.2M32.99%39.1M-1.79%33M18.46%58.4M18.46%58.4M
-Accounts receivable 61.64%47.2M7.16%41.9M13.64%37.5M-4.33%39.8M-4.33%39.8M6.18%29.2M36.71%39.1M0.00%33M27.22%41.6M27.22%41.6M
-Other receivables --27.1M--------42.31%25.9M42.31%25.9M------------0.55%18.2M0.55%18.2M
-Recievables adjustments allowances ------------21.43%-1.1M21.43%-1.1M------------22.22%-1.4M22.22%-1.4M
Inventory -20.80%31.6M-36.67%30.4M-13.15%31.7M6.60%32.3M6.60%32.3M58.33%39.9M88.98%48M26.30%36.5M95.48%30.3M95.48%30.3M
Prepaid assets --23M------------------------------------
Restricted cash --800K------------------------------------
Other current assets ----21.78%39.7M27.33%39.6M18.18%15.6M18.18%15.6M36.96%37.8M27.34%32.6M8.74%31.1M14.78%13.2M14.78%13.2M
Total current assets 24.08%165.4M-16.25%135.5M12.23%144.1M20.17%152.5M20.17%152.5M13.25%133.3M44.21%161.8M-2.65%128.4M2.26%126.9M2.26%126.9M
Non current assets
Net PPE 23.47%82.6M37.21%76.7M40.50%78.4M26.02%77M26.02%77M34.34%66.9M5.08%55.9M-3.46%55.8M-13.70%61.1M-13.70%61.1M
-Gross PPE 23.47%82.6M37.21%76.7M40.50%78.4M16.09%234.5M16.09%234.5M34.34%66.9M5.08%55.9M-3.46%55.8M-6.74%202M-6.74%202M
-Accumulated depreciation -------------11.78%-157.5M-11.78%-157.5M------------3.36%-140.9M3.36%-140.9M
Goodwill and other intangible assets 12.90%103.3M-25.63%98.1M-27.55%93.1M6.33%94M6.33%94M-20.37%91.5M5.94%131.9M-4.10%128.5M-10.89%88.4M-10.89%88.4M
-Goodwill 9.95%61.9M-25.26%58.3M-23.09%58.3M5.95%58.8M5.95%58.8M-17.81%56.3M4.70%78M-6.07%75.8M-10.77%55.5M-10.77%55.5M
-Other intangible assets 17.61%41.4M-26.16%39.8M-33.97%34.8M6.99%35.2M6.99%35.2M-24.14%35.2M7.80%53.9M-1.13%52.7M-11.08%32.9M-11.08%32.9M
Non current accounts receivable ------------116.67%7.8M116.67%7.8M-------------5.26%3.6M-5.26%3.6M
Non current deferred assets 37.65%11.7M--10.3M--9.7M34.29%9.4M34.29%9.4M--8.5M---------9.09%7M-9.09%7M
Non current prepaid assets ------------0.00%200K0.00%200K--------------200K--200K
Other non current assets 468.89%25.6M53.85%6M52.63%5.8M--------7.14%4.5M-62.50%3.9M-55.29%3.8M--------
Total non current assets 30.22%223.2M-0.31%191.1M-0.58%187M17.53%188.4M17.53%188.4M1.48%171.4M1.91%191.7M-6.09%188.1M-13.16%160.3M-13.16%160.3M
Total assets 27.54%388.6M-7.61%326.6M4.61%331.1M18.70%340.9M18.70%340.9M6.32%304.7M17.72%353.5M-4.73%316.5M-6.96%287.2M-6.96%287.2M
Liabilities
Current liabilities
Payables -0.26%37.9M-25.89%31.2M41.18%38.4M42.60%48.2M42.60%48.2M30.58%38M71.14%42.1M-8.11%27.2M0.00%33.8M0.00%33.8M
-accounts payable -10.17%30.9M-11.00%26.7M58.56%35.2M76.79%41.9M76.79%41.9M40.98%34.4M59.57%30M-8.64%22.2M13.94%23.7M13.94%23.7M
-Total tax payable 94.44%7M-62.81%4.5M-36.00%3.2M-37.62%6.3M-37.62%6.3M-23.40%3.6M108.62%12.1M-5.66%5M-17.89%10.1M-17.89%10.1M
Current accrued expenses 25.00%29.5M20.00%21M-35.82%22.4M-34.83%18.9M-34.83%18.9M-11.28%23.6M-32.17%17.5M-8.40%34.9M1.05%29M1.05%29M
Current debt and capital lease obligation 709.76%33.2M734.48%24.2M757.14%24M400.00%24.5M400.00%24.5M10.81%4.1M-19.44%2.9M-26.32%2.8M-7.55%4.9M-7.55%4.9M
-Current debt --20.1M--19M--18.9M--19.1M--19.1M--------------------
-Current capital lease obligation 219.51%13.1M79.31%5.2M82.14%5.1M10.20%5.4M10.20%5.4M10.81%4.1M-19.44%2.9M-26.32%2.8M-7.55%4.9M-7.55%4.9M
Current deferred liabilities -35.63%5.6M-84.24%4.9M-3.92%4.9M21.43%8.5M21.43%8.5M89.13%8.7M371.21%31.1M-29.17%5.1M-33.96%7M-33.96%7M
Other current liabilities -8.82%3.1M68.42%6.4M37.50%4.4M200.00%600K200.00%600K17.24%3.4M35.71%3.8M-20.00%3.2M--200K--200K
Current liabilities 40.49%109.3M-9.96%87.7M28.55%94.1M34.45%100.7M34.45%100.7M16.29%77.8M53.63%97.4M-11.49%73.2M-8.55%74.9M-8.55%74.9M
Non current liabilities
Long term provisions ------------27.27%1.4M27.27%1.4M-------------38.89%1.1M-38.89%1.1M
Long term debt and capital lease obligation 16.15%342.4M1.69%306.3M4.79%306.3M5.46%307M5.46%307M11.58%294.8M5.02%301.2M-6.01%292.3M-10.95%291.1M-10.95%291.1M
-Long term debt 10.51%312.4M0.00%294M2.73%293.3M6.48%295.6M6.48%295.6M9.96%282.7M5.30%294M-5.53%285.5M-10.16%277.6M-10.16%277.6M
-Long term capital lease obligation 147.93%30M70.83%12.3M91.18%13M-15.56%11.4M-15.56%11.4M70.42%12.1M-5.26%7.2M-22.73%6.8M-24.58%13.5M-24.58%13.5M
Non current deferred liabilities 650.00%12M157.14%7.2M150.00%8M153.57%7.1M153.57%7.1M-60.00%1.6M-42.86%2.8M-50.00%3.2M-49.09%2.8M-49.09%2.8M
Employee benefits -------------4.76%2M-4.76%2M--------------2.1M--2.1M
Other non current liabilities 6.67%3.2M16.67%2.8M77.27%3.9M-12.50%700K-12.50%700K42.86%3M4.35%2.4M-15.38%2.2M-38.46%800K-38.46%800K
Total non current liabilities 19.44%357.6M3.23%316.3M6.89%318.2M6.81%318.2M6.81%318.2M10.77%299.4M4.22%306.4M-6.97%297.7M-11.21%297.9M-11.21%297.9M
Total liabilities 23.78%466.9M0.05%404M11.16%412.3M12.37%418.9M12.37%418.9M11.86%377.2M12.98%403.8M-7.90%370.9M-10.69%372.8M-10.69%372.8M
Shareholders'equity
Share capital --0--0--0--0--0--0--0--0--0--0
-common stock --0--0--0--0--0--0--0--0--0--0
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -0.06%-508.9M-6.84%-512.3M-6.61%-514.3M1.17%-508.6M1.17%-508.6M-4.89%-508.6M2.18%-479.5M2.07%-482.4M1.94%-514.6M1.94%-514.6M
Paid-in capital 1.14%390.7M1.28%389M1.60%387.3M2.09%386.1M2.09%386.1M1.68%386.3M1.78%384.1M1.65%381.2M1.58%378.2M1.58%378.2M
Gains losses not affecting retained earnings -19.88%39.9M1.77%45.9M-2.14%45.8M-12.40%44.5M-12.40%44.5M-8.46%49.8M-19.03%45.1M-0.64%46.8M15.98%50.8M15.98%50.8M
Total stockholders'equity -8.00%-78.3M-53.88%-77.4M-49.26%-81.2M8.88%-78M8.88%-78M-43.28%-72.5M11.91%-50.3M22.84%-54.4M21.25%-85.6M21.25%-85.6M
Total equity -8.00%-78.3M-53.88%-77.4M-49.26%-81.2M8.88%-78M8.88%-78M-43.28%-72.5M11.91%-50.3M22.84%-54.4M21.25%-85.6M21.25%-85.6M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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