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ID 406318337 · FY 2022–2024 · 3 years
კომპანიის ძირითადი საქმიანობაა თამაშების მომწოდებლებისგან ლიცენზირებული თამაშების მიღება და მათი ქველიცენზირების გზით მიწოდება საქართველოს ბაზარზე.
Bars are revenue on the left axis; lines are EBITDA and net margin on the right.
| Line item | 2022 | 2023 | 2024 | CAGR |
|---|---|---|---|---|
| Net Cash from Operating Activities | 143 | 351 | 730 | +125.9% |
| Net Cash used in Investing Activities | -29 | -287 | -142 | +119.5% |
| Free Cash Flow (OCF − Capex proxy) | 114 | 64 | 588 | +127.6% |
| Net Change in Cash (before FX) | 114 | 64 | 588 | +127.6% |
| Effect of FX on Cash | -0 | 29 | -40 | nmf |
| Net Change in Cash (incl. FX) | 113 | 93 | 548 | +119.9% |
| Cash at Beginning of Year | 291 | 404 | 497 | +30.7% |
| Cash at End of Year | 404 | 497 | 1,045 | +60.8% |
Shareholders, directors and group links from the companyinfo.ge public register — as filed, so stakes need not sum to 100% where a holding is undisclosed.
Ownership & directors from companyinfo.ge (public corporate registry).
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* Free cash flow = OCF − net investing outflow (the filings carry no standalone capex line).