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PLAY Dave & Buster's Entertainment

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  • 39.320
  • +1.700+4.52%
Close Nov 29 13:00 ET
  • 39.490
  • +0.170+0.43%
Post 17:01 ET
1.55BMarket Cap14.14P/E (TTM)

Dave & Buster's Entertainment Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Aug 6, 2024
(Q1)May 5, 2024
(FY)Feb 4, 2024
(Q4)Feb 4, 2024
(Q3)Oct 29, 2023
(Q2)Jul 30, 2023
(Q1)Apr 30, 2023
(FY)Jan 29, 2023
(Q4)Jan 29, 2023
(Q3)Oct 29, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
-84.14%13.1M
-64.92%32.1M
-79.46%37.3M
-79.46%37.3M
-40.86%64M
-17.72%82.6M
-34.21%91.5M
600.89%181.6M
600.89%181.6M
300.71%108.21M
-Cash and cash equivalents
-84.14%13.1M
-64.92%32.1M
-79.46%37.3M
-79.46%37.3M
-40.86%64M
-17.72%82.6M
-34.21%91.5M
600.89%181.6M
600.89%181.6M
300.71%108.21M
Receivables
-63.25%20.8M
-17.56%33.8M
-5.08%44.8M
-5.08%44.8M
-42.64%26.3M
63.20%56.6M
145.55%41M
-27.30%47.2M
-27.30%47.2M
-32.22%45.85M
-Accounts receivable
-32.05%15.9M
1.48%20.6M
0.92%21.9M
0.92%21.9M
--20.2M
--23.4M
--20.3M
--21.7M
--21.7M
----
-Taxes receivable
-85.24%4.9M
-36.23%13.2M
-10.20%22.9M
-10.20%22.9M
-86.70%6.1M
-4.27%33.2M
23.97%20.7M
-60.72%25.5M
-60.72%25.5M
-32.22%45.85M
Inventory
-14.87%37.2M
-21.09%37.8M
-18.06%37.2M
-18.06%37.2M
-4.69%43.3M
-6.98%43.7M
15.14%47.9M
12.60%45.4M
12.60%45.4M
21.95%45.43M
Prepaid assets
-0.40%25M
25.37%34.1M
-6.67%18.2M
-6.67%18.2M
48.58%23.4M
40.64%25.1M
65.82%27.2M
72.32%19.5M
72.32%19.5M
27.25%15.75M
Other current assets
----
----
----
----
----
----
----
----
----
773.92%18.36M
Total current assets
-53.80%96.1M
-33.62%137.8M
-53.18%137.5M
-53.18%137.5M
-32.79%157M
-3.03%208M
-4.39%207.6M
101.76%293.7M
101.76%293.7M
59.58%233.61M
Non current assets
Net PPE
7.75%2.77B
5.82%2.69B
5.66%2.66B
5.66%2.66B
5.54%2.59B
3.80%2.57B
37.70%2.54B
38.44%2.51B
38.44%2.51B
35.04%2.45B
-Gross PPE
11.12%4.12B
9.47%3.97B
9.03%3.88B
9.03%3.88B
53.39%3.77B
7.31%3.7B
30.41%3.63B
30.58%3.56B
30.58%3.56B
-9.39%2.45B
-Accumulated depreciation
-18.81%-1.34B
-17.98%-1.28B
-17.14%-1.22B
-17.14%-1.22B
---1.17B
-16.24%-1.13B
-16.08%-1.09B
-14.88%-1.04B
-14.88%-1.04B
----
Goodwill and other intangible assets
0.00%920.7M
0.04%920.7M
-0.22%920.7M
-0.22%920.7M
-4.62%920.7M
0.21%920.7M
161.74%920.3M
162.43%922.7M
162.43%922.7M
174.56%965.25M
-Goodwill
0.00%742.5M
0.05%742.5M
-0.27%742.5M
-0.27%742.5M
-5.66%742.5M
1.90%742.5M
172.23%742.1M
173.11%744.5M
173.11%744.5M
188.76%787.05M
-Other intangible assets
0.00%178.2M
0.00%178.2M
0.00%178.2M
0.00%178.2M
0.00%178.2M
-6.26%178.2M
125.57%178.2M
125.57%178.2M
125.57%178.2M
125.57%178.2M
Non current deferred assets
--7.2M
1,425.00%6.1M
1,100.00%6M
1,100.00%6M
306.20%5.5M
----
-95.65%400K
-94.98%500K
-94.98%500K
-85.70%1.35M
Other non current assets
36.88%36M
24.11%35M
12.87%34.2M
12.87%34.2M
-20.67%23.9M
-9.81%26.3M
27.75%28.2M
32.51%30.3M
32.51%30.3M
18.07%30.13M
Total non current assets
6.15%3.74B
4.61%3.65B
4.31%3.62B
4.31%3.62B
2.59%3.54B
2.48%3.52B
56.64%3.49B
57.59%3.47B
57.59%3.47B
56.58%3.45B
Total assets
2.80%3.83B
2.46%3.79B
-0.18%3.75B
-0.18%3.75B
0.34%3.7B
2.15%3.73B
51.22%3.69B
60.33%3.76B
60.33%3.76B
56.76%3.69B
Liabilities
Current liabilities
Payables
20.06%114.3M
48.55%133.4M
29.47%142.8M
29.47%142.8M
12.01%94.9M
3.13%95.2M
26.70%89.8M
49.18%110.3M
49.18%110.3M
55.87%84.73M
-accounts payable
20.83%84.1M
70.94%109.4M
40.02%118.6M
40.02%118.6M
21.64%69.6M
3.20%69.6M
17.37%64M
35.54%84.7M
35.54%84.7M
45.61%57.22M
-Total tax payable
17.97%30.2M
-6.98%24M
-5.47%24.2M
-5.47%24.2M
-8.03%25.3M
2.94%25.6M
57.83%25.8M
123.70%25.6M
123.70%25.6M
82.66%27.51M
Current accrued expenses
-49.85%34.4M
-74.82%17.6M
-17.99%31.9M
-17.99%31.9M
5.27%71M
40.25%68.6M
155.75%69.9M
4.47%38.9M
4.47%38.9M
177.17%67.45M
Current provisions
--5.7M
--5.7M
-14.93%5.7M
-14.93%5.7M
----
----
----
--6.7M
--6.7M
----
Current debt and capital lease obligation
-5.63%73.7M
-2.54%69M
-0.69%72.1M
-0.69%72.1M
16.45%79.4M
9.22%78.1M
34.14%70.8M
59.75%72.6M
59.75%72.6M
31.79%68.18M
-Current debt
0.00%9M
5.88%9M
5.88%9M
5.88%9M
5.88%9M
5.88%9M
--8.5M
--8.5M
--8.5M
--8.5M
-Current capital lease obligation
-6.37%64.7M
-3.69%60M
-1.56%63.1M
-1.56%63.1M
17.96%70.4M
9.67%69.1M
18.04%62.3M
41.05%64.1M
41.05%64.1M
15.36%59.68M
Current deferred liabilities
2.24%145.9M
10.16%161.6M
3.49%154.1M
3.49%154.1M
9.39%150.9M
0.28%142.7M
12.36%146.7M
16.83%148.9M
16.83%148.9M
6.80%137.95M
Current liabilities
-3.38%408.2M
3.57%424.1M
-0.55%435.6M
-0.55%435.6M
3.21%419.3M
3.66%422.5M
30.80%409.5M
40.60%438M
40.60%438M
39.76%406.24M
Non current liabilities
Long term debt and capital lease obligation
0.57%2.88B
1.32%2.84B
1.86%2.84B
1.86%2.84B
2.10%2.87B
1.65%2.87B
62.43%2.8B
63.29%2.79B
63.29%2.79B
59.84%2.81B
-Long term debt
1.07%1.29B
5.58%1.29B
5.01%1.28B
5.01%1.28B
4.83%1.28B
4.84%1.28B
182.68%1.22B
183.43%1.22B
183.43%1.22B
152.17%1.22B
-Long term capital lease obligation
0.17%1.59B
-1.96%1.55B
-0.59%1.56B
-0.59%1.56B
-0.01%1.58B
-0.79%1.59B
22.30%1.58B
22.72%1.57B
22.72%1.57B
24.63%1.58B
Non current deferred liabilities
2.63%85.7M
16.09%90.9M
35.44%89.8M
35.44%89.8M
28.18%73.7M
527.44%83.5M
406.93%78.3M
451.95%66.3M
451.95%66.3M
356.12%57.5M
Other non current liabilities
299.31%173.7M
221.41%136.6M
142.91%135.3M
142.91%135.3M
136.28%128.1M
-20.00%43.5M
16.82%42.5M
47.09%55.7M
47.09%55.7M
19.77%54.22M
Total non current liabilities
4.97%3.14B
4.91%3.07B
5.33%3.07B
5.33%3.07B
5.11%3.07B
3.66%2.99B
64.48%2.93B
65.59%2.91B
65.59%2.91B
60.90%2.92B
Total liabilities
3.94%3.55B
4.75%3.49B
4.56%3.5B
4.56%3.5B
4.88%3.49B
3.66%3.42B
59.44%3.33B
61.83%3.35B
61.83%3.35B
57.98%3.32B
Shareholders'equity
Share capital
0.00%600K
0.00%600K
0.00%600K
0.00%600K
-3.69%600K
-3.54%600K
-2.91%600K
-2.60%600K
-2.60%600K
1.47%623K
-common stock
0.00%600K
0.00%600K
0.00%600K
0.00%600K
-3.69%600K
-3.54%600K
-2.91%600K
-2.60%600K
-2.60%600K
1.47%623K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
19.81%680.9M
18.10%640.6M
26.87%599.2M
26.87%599.2M
30.01%563.1M
31.79%568.3M
34.89%542.4M
40.93%472.3M
40.93%472.3M
39.95%433.12M
Paid-in capital
3.61%611.4M
4.24%609.1M
3.48%597.6M
3.48%597.6M
4.87%593.8M
4.87%590.1M
4.72%584.3M
5.23%577.5M
5.23%577.5M
3.87%566.24M
Less: Treasury stock
19.40%1.01B
24.83%956.8M
47.93%945.3M
47.93%945.3M
48.10%944.8M
32.42%843.8M
26.35%766.5M
5.54%639M
5.54%639M
5.66%637.95M
Gains losses not affecting retained earnings
-25.00%-1M
-11.11%-1M
0.00%-900K
0.00%-900K
-7.53%-1.1M
11.89%-800K
60.85%-900K
75.19%-900K
75.19%-900K
79.37%-1.02M
Total stockholders'equity
-9.54%284.4M
-18.73%292.5M
-38.81%251.2M
-38.81%251.2M
-41.39%211.6M
-11.78%314.4M
2.32%359.9M
49.02%410.5M
49.02%410.5M
46.42%361.02M
Total equity
-9.54%284.4M
-18.73%292.5M
-38.81%251.2M
-38.81%251.2M
-41.39%211.6M
-11.78%314.4M
2.32%359.9M
49.02%410.5M
49.02%410.5M
46.42%361.02M
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
--
--
--
--
--
--
--
(Q2)Aug 6, 2024(Q1)May 5, 2024(FY)Feb 4, 2024(Q4)Feb 4, 2024(Q3)Oct 29, 2023(Q2)Jul 30, 2023(Q1)Apr 30, 2023(FY)Jan 29, 2023(Q4)Jan 29, 2023(Q3)Oct 29, 2022
Assets
Current assets
Cash, cash equivalents and short term investments -84.14%13.1M-64.92%32.1M-79.46%37.3M-79.46%37.3M-40.86%64M-17.72%82.6M-34.21%91.5M600.89%181.6M600.89%181.6M300.71%108.21M
-Cash and cash equivalents -84.14%13.1M-64.92%32.1M-79.46%37.3M-79.46%37.3M-40.86%64M-17.72%82.6M-34.21%91.5M600.89%181.6M600.89%181.6M300.71%108.21M
Receivables -63.25%20.8M-17.56%33.8M-5.08%44.8M-5.08%44.8M-42.64%26.3M63.20%56.6M145.55%41M-27.30%47.2M-27.30%47.2M-32.22%45.85M
-Accounts receivable -32.05%15.9M1.48%20.6M0.92%21.9M0.92%21.9M--20.2M--23.4M--20.3M--21.7M--21.7M----
-Taxes receivable -85.24%4.9M-36.23%13.2M-10.20%22.9M-10.20%22.9M-86.70%6.1M-4.27%33.2M23.97%20.7M-60.72%25.5M-60.72%25.5M-32.22%45.85M
Inventory -14.87%37.2M-21.09%37.8M-18.06%37.2M-18.06%37.2M-4.69%43.3M-6.98%43.7M15.14%47.9M12.60%45.4M12.60%45.4M21.95%45.43M
Prepaid assets -0.40%25M25.37%34.1M-6.67%18.2M-6.67%18.2M48.58%23.4M40.64%25.1M65.82%27.2M72.32%19.5M72.32%19.5M27.25%15.75M
Other current assets ------------------------------------773.92%18.36M
Total current assets -53.80%96.1M-33.62%137.8M-53.18%137.5M-53.18%137.5M-32.79%157M-3.03%208M-4.39%207.6M101.76%293.7M101.76%293.7M59.58%233.61M
Non current assets
Net PPE 7.75%2.77B5.82%2.69B5.66%2.66B5.66%2.66B5.54%2.59B3.80%2.57B37.70%2.54B38.44%2.51B38.44%2.51B35.04%2.45B
-Gross PPE 11.12%4.12B9.47%3.97B9.03%3.88B9.03%3.88B53.39%3.77B7.31%3.7B30.41%3.63B30.58%3.56B30.58%3.56B-9.39%2.45B
-Accumulated depreciation -18.81%-1.34B-17.98%-1.28B-17.14%-1.22B-17.14%-1.22B---1.17B-16.24%-1.13B-16.08%-1.09B-14.88%-1.04B-14.88%-1.04B----
Goodwill and other intangible assets 0.00%920.7M0.04%920.7M-0.22%920.7M-0.22%920.7M-4.62%920.7M0.21%920.7M161.74%920.3M162.43%922.7M162.43%922.7M174.56%965.25M
-Goodwill 0.00%742.5M0.05%742.5M-0.27%742.5M-0.27%742.5M-5.66%742.5M1.90%742.5M172.23%742.1M173.11%744.5M173.11%744.5M188.76%787.05M
-Other intangible assets 0.00%178.2M0.00%178.2M0.00%178.2M0.00%178.2M0.00%178.2M-6.26%178.2M125.57%178.2M125.57%178.2M125.57%178.2M125.57%178.2M
Non current deferred assets --7.2M1,425.00%6.1M1,100.00%6M1,100.00%6M306.20%5.5M-----95.65%400K-94.98%500K-94.98%500K-85.70%1.35M
Other non current assets 36.88%36M24.11%35M12.87%34.2M12.87%34.2M-20.67%23.9M-9.81%26.3M27.75%28.2M32.51%30.3M32.51%30.3M18.07%30.13M
Total non current assets 6.15%3.74B4.61%3.65B4.31%3.62B4.31%3.62B2.59%3.54B2.48%3.52B56.64%3.49B57.59%3.47B57.59%3.47B56.58%3.45B
Total assets 2.80%3.83B2.46%3.79B-0.18%3.75B-0.18%3.75B0.34%3.7B2.15%3.73B51.22%3.69B60.33%3.76B60.33%3.76B56.76%3.69B
Liabilities
Current liabilities
Payables 20.06%114.3M48.55%133.4M29.47%142.8M29.47%142.8M12.01%94.9M3.13%95.2M26.70%89.8M49.18%110.3M49.18%110.3M55.87%84.73M
-accounts payable 20.83%84.1M70.94%109.4M40.02%118.6M40.02%118.6M21.64%69.6M3.20%69.6M17.37%64M35.54%84.7M35.54%84.7M45.61%57.22M
-Total tax payable 17.97%30.2M-6.98%24M-5.47%24.2M-5.47%24.2M-8.03%25.3M2.94%25.6M57.83%25.8M123.70%25.6M123.70%25.6M82.66%27.51M
Current accrued expenses -49.85%34.4M-74.82%17.6M-17.99%31.9M-17.99%31.9M5.27%71M40.25%68.6M155.75%69.9M4.47%38.9M4.47%38.9M177.17%67.45M
Current provisions --5.7M--5.7M-14.93%5.7M-14.93%5.7M--------------6.7M--6.7M----
Current debt and capital lease obligation -5.63%73.7M-2.54%69M-0.69%72.1M-0.69%72.1M16.45%79.4M9.22%78.1M34.14%70.8M59.75%72.6M59.75%72.6M31.79%68.18M
-Current debt 0.00%9M5.88%9M5.88%9M5.88%9M5.88%9M5.88%9M--8.5M--8.5M--8.5M--8.5M
-Current capital lease obligation -6.37%64.7M-3.69%60M-1.56%63.1M-1.56%63.1M17.96%70.4M9.67%69.1M18.04%62.3M41.05%64.1M41.05%64.1M15.36%59.68M
Current deferred liabilities 2.24%145.9M10.16%161.6M3.49%154.1M3.49%154.1M9.39%150.9M0.28%142.7M12.36%146.7M16.83%148.9M16.83%148.9M6.80%137.95M
Current liabilities -3.38%408.2M3.57%424.1M-0.55%435.6M-0.55%435.6M3.21%419.3M3.66%422.5M30.80%409.5M40.60%438M40.60%438M39.76%406.24M
Non current liabilities
Long term debt and capital lease obligation 0.57%2.88B1.32%2.84B1.86%2.84B1.86%2.84B2.10%2.87B1.65%2.87B62.43%2.8B63.29%2.79B63.29%2.79B59.84%2.81B
-Long term debt 1.07%1.29B5.58%1.29B5.01%1.28B5.01%1.28B4.83%1.28B4.84%1.28B182.68%1.22B183.43%1.22B183.43%1.22B152.17%1.22B
-Long term capital lease obligation 0.17%1.59B-1.96%1.55B-0.59%1.56B-0.59%1.56B-0.01%1.58B-0.79%1.59B22.30%1.58B22.72%1.57B22.72%1.57B24.63%1.58B
Non current deferred liabilities 2.63%85.7M16.09%90.9M35.44%89.8M35.44%89.8M28.18%73.7M527.44%83.5M406.93%78.3M451.95%66.3M451.95%66.3M356.12%57.5M
Other non current liabilities 299.31%173.7M221.41%136.6M142.91%135.3M142.91%135.3M136.28%128.1M-20.00%43.5M16.82%42.5M47.09%55.7M47.09%55.7M19.77%54.22M
Total non current liabilities 4.97%3.14B4.91%3.07B5.33%3.07B5.33%3.07B5.11%3.07B3.66%2.99B64.48%2.93B65.59%2.91B65.59%2.91B60.90%2.92B
Total liabilities 3.94%3.55B4.75%3.49B4.56%3.5B4.56%3.5B4.88%3.49B3.66%3.42B59.44%3.33B61.83%3.35B61.83%3.35B57.98%3.32B
Shareholders'equity
Share capital 0.00%600K0.00%600K0.00%600K0.00%600K-3.69%600K-3.54%600K-2.91%600K-2.60%600K-2.60%600K1.47%623K
-common stock 0.00%600K0.00%600K0.00%600K0.00%600K-3.69%600K-3.54%600K-2.91%600K-2.60%600K-2.60%600K1.47%623K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 19.81%680.9M18.10%640.6M26.87%599.2M26.87%599.2M30.01%563.1M31.79%568.3M34.89%542.4M40.93%472.3M40.93%472.3M39.95%433.12M
Paid-in capital 3.61%611.4M4.24%609.1M3.48%597.6M3.48%597.6M4.87%593.8M4.87%590.1M4.72%584.3M5.23%577.5M5.23%577.5M3.87%566.24M
Less: Treasury stock 19.40%1.01B24.83%956.8M47.93%945.3M47.93%945.3M48.10%944.8M32.42%843.8M26.35%766.5M5.54%639M5.54%639M5.66%637.95M
Gains losses not affecting retained earnings -25.00%-1M-11.11%-1M0.00%-900K0.00%-900K-7.53%-1.1M11.89%-800K60.85%-900K75.19%-900K75.19%-900K79.37%-1.02M
Total stockholders'equity -9.54%284.4M-18.73%292.5M-38.81%251.2M-38.81%251.2M-41.39%211.6M-11.78%314.4M2.32%359.9M49.02%410.5M49.02%410.5M46.42%361.02M
Total equity -9.54%284.4M-18.73%292.5M-38.81%251.2M-38.81%251.2M-41.39%211.6M-11.78%314.4M2.32%359.9M49.02%410.5M49.02%410.5M46.42%361.02M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

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