Gambling.com Group Ltd

NASDAQ GAMB

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Gambling.com Group Ltd Operating Cash Flow to Debt Ratio 5 year CAGR for the quarter ending September 30, 2021

Gambling.com Group Ltd Operating Cash Flow to Debt Ratio 5 year CAGR is NA for the quarter ending September 30, 2021. The operating cash flow to debt ratio measures the ability of a company's operating cash flow to cover its total debt obligations. It is calculated by dividing the operating cash flow by the total debt. This ratio provides insights into the company's ability to generate cash flow from its operations to service its debt. A higher ratio indicates a stronger capacity to generate operating cash flow relative to the level of debt, suggesting potential financial strength and debt servicing capability. CAGR, or the Compound Annual Growth Rate, quantifies the mean annual growth rate of an investment or financial metric over a specified time span, considering the influence of compounding. It is instrumental in determining the true annualized return on an investment.
  • Gambling.com Group Ltd Operating Cash Flow to Debt Ratio for the quarter ending March 31, 2021 was 1.06.
NASDAQ: GAMB

Gambling.com Group Ltd

CEO Mr. Charles Hanson Gillespie
IPO Date July 23, 2021
Location Jersey
Headquarters 22 Grenville Street, Saint Helier, Jersey, JE4 8PX
Employees 500
Sector Consumer Cyclical
Industry Gambling
Description

Gambling.com Group Limited operates as a performance marketing company for the online gambling industry worldwide. It provides digital marketing services for the iGaming and social casino products. The company's focus is on online casino, online sports betting, and fantasy sports industry. It publishes various branded websites, including Gambling.com, Casinos.com, RotoWire.com, and Bookies.com. The company was incorporated in 2006 and is based in Saint Helier, Jersey.

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StockViz Staff

September 19, 2024

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