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SGHC Super Group

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  • 8.730
  • -0.080-0.91%
Close May 6 16:00 ET
  • 8.730
  • 0.0000.00%
Post 20:01 ET
4.41BMarket Cap34.10P/E (TTM)

Super Group Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
(FY)Dec 31, 2021
(Q2)Jun 30, 2021
(Q1)Mar 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
113.46%283.58M
-20.37%132.85M
-20.50%166.84M
-77.68%14.93M
-72.04%17.68M
38.68%209.85M
66.9M
63.24M
4,114.01%151.33M
3.59M
Net income from continuing operations
1,419.37%113.55M
-104.72%-8.61M
-22.73%182.27M
367.11%298.56M
-523.17%-163.22M
58.08%235.88M
--63.92M
--38.57M
931.29%149.22M
---17.95M
Operating gains losses
-149.53%-19.47M
118.23%39.31M
-1,492.39%-215.69M
-664.50%-50.13M
842.34%27.69M
-595.33%-13.55M
---6.56M
--2.94M
-2,768.49%-1.95M
--73K
Depreciation and amortization
-5.45%77.71M
23.17%82.19M
-20.14%66.73M
-30.87%15.18M
-20.14%15.99M
50.81%83.56M
--21.96M
--20.02M
81.90%55.41M
--30.46M
Deferred tax
196.44%75.25M
-25.86%25.39M
443.43%34.24M
81.92%5.62M
206.82%8.96M
-2,424.01%-9.97M
--3.09M
--2.92M
28.83%429K
--333K
Other non cash items
-21.12%12.51M
-86.17%15.86M
911.03%114.67M
-17,038.05%-342.32M
2,077.23%150.57M
41.72%-14.14M
--2.02M
---7.62M
35.74%-24.26M
---37.75M
Change In working capital
186.89%24.12M
-444.65%-27.76M
113.90%8.05M
-144.51%-25.64M
-344.71%-17.65M
-108.40%-57.95M
---10.49M
--7.21M
-341.80%-27.81M
--11.5M
-Change in receivables
135.22%13.75M
-182.94%-39.02M
345.15%47.05M
4.85%10.54M
-88.05%2.29M
37.97%-19.19M
--10.05M
--19.16M
-15,066.67%-30.94M
---204K
-Change in payables and accrued expense
-89.56%890K
130.74%8.53M
24.96%-27.74M
-168.39%-25.9M
-17.82%-20.13M
-525.97%-36.97M
---9.65M
---17.08M
-42.96%8.68M
--15.22M
-Change in other working capital
246.18%9.48M
124.34%2.74M
-528.36%-11.25M
5.60%-10.28M
-96.24%193K
67.72%-1.79M
---10.89M
--5.13M
-58.06%-5.55M
---3.51M
Cash from discontinued investing activities
Operating cash flow
113.46%283.58M
-20.37%132.85M
-20.50%166.84M
-77.68%14.93M
-72.04%17.68M
38.68%209.85M
--66.9M
--63.24M
4,114.01%151.33M
--3.59M
Investing cash flow
Cash flow from continuing investing activities
-2,010.23%-105.79M
94.81%-5.01M
-431.51%-96.52M
-193.38%-23.63M
-369.53%-18.6M
-211.07%-18.16M
25.31M
6.9M
-111.76%-5.84M
49.64M
Net PPE purchase and sale
-46.57%-13.35M
-44.29%-9.11M
-100.54%-6.31M
74.44%-207K
-383.40%-2.53M
-59.50%-3.15M
---810K
---524K
41.09%-1.97M
---3.35M
Net intangibles purchase and sale
-76.39%-78.4M
-109.36%-44.45M
10.07%-21.23M
-279.44%-6.51M
-72.33%-6.25M
-132.75%-23.61M
--3.63M
---3.63M
-20,184.00%-10.14M
---50K
Net business purchase and sale
189.41%9.18M
-241.02%-10.27M
-63.25%7.28M
--0
--0
-33.59%19.81M
---5.15M
--10.3M
-19.70%29.84M
--37.16M
Net investment purchase and sale
59.29%-28.92M
-886.88%-71.06M
-720.69%-7.2M
----
----
--1.16M
----
----
--0
--0
Net other investing changes
-98.59%1.76M
276.23%124.71M
-429.64%-70.77M
-160.93%-17.2M
-1,918.26%-10.06M
43.90%-13.36M
--28.22M
--553K
-251.47%-23.82M
--15.72M
Cash from discontinued investing activities
Investing cash flow
-2,010.23%-105.79M
94.81%-5.01M
-431.51%-96.52M
-193.38%-23.63M
-369.53%-18.6M
-211.07%-18.16M
--25.31M
--6.9M
-111.76%-5.84M
--49.64M
Financing cash flow
Cash flow from continuing financing activities
58.72%-54.15M
-27.12%-131.16M
-159.48%-103.18M
-226.97%-48.37M
-73.38%-24.35M
50.96%-39.76M
-14.79M
-14.04M
-927.86%-81.09M
-7.89M
Net issuance payments of debt
95.71%-5.43M
-275.77%-126.65M
-22.47%-33.71M
64.69%-5.8M
48.12%-1.54M
-160.26%-27.52M
---16.42M
---2.96M
-182.11%-10.58M
--12.88M
Net common stock issuance
--0
95.10%-2.63M
-601.01%-53.69M
-1,327.52%-43.85M
26.71%-7.87M
-223.12%-7.66M
--3.57M
---10.73M
--6.22M
--0
Cash dividends paid
--0
--0
--0
--0
--0
--0
--0
--0
---10M
--0
Net other financing activities
-131,791.43%-46.16M
99.76%-35K
-260.20%-14.59M
--1.49M
---14.69M
93.87%-4.05M
----
----
-225.51%-66.03M
---20.28M
Cash from discontinued financing activities
Financing cash flow
58.72%-54.15M
-27.12%-131.16M
-159.48%-103.18M
-226.97%-48.37M
-73.38%-24.35M
50.96%-39.76M
---14.79M
---14.04M
-927.86%-81.09M
---7.89M
Net cash flow
Beginning cash position
-5.05%241.92M
-13.28%254.78M
112.07%293.8M
38.99%272.68M
112.07%293.8M
86.30%138.54M
--196.19M
--138.54M
178.74%74.37M
--26.68M
Current changes in cash
3,815.38%123.65M
89.87%-3.33M
-121.63%-32.87M
-173.72%-57.06M
-145.04%-25.27M
135.92%151.93M
--77.41M
--56.1M
42.04%64.4M
--45.34M
Effect of exchange rate changes
176.74%7.31M
-54.81%-9.53M
-284.92%-6.15M
347.41%4.4M
167.61%4.16M
1,585.71%3.33M
---1.78M
--1.55M
-109.54%-224K
--2.35M
End cash Position
54.13%372.88M
-5.05%241.92M
-13.28%254.78M
-19.06%220.02M
38.99%272.68M
112.07%293.8M
--271.83M
--196.19M
86.30%138.54M
--74.37M
Free cash flow
141.92%191.84M
-43.07%79.3M
-23.92%139.3M
-88.22%8.22M
-84.94%8.9M
31.53%183.1M
--69.72M
--59.09M
72,405.21%139.21M
--192K
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
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
Unqualified Opinion
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(FY)Dec 31, 2023(FY)Dec 31, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022(FY)Dec 31, 2021(Q2)Jun 30, 2021(Q1)Mar 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 113.46%283.58M-20.37%132.85M-20.50%166.84M-77.68%14.93M-72.04%17.68M38.68%209.85M66.9M63.24M4,114.01%151.33M3.59M
Net income from continuing operations 1,419.37%113.55M-104.72%-8.61M-22.73%182.27M367.11%298.56M-523.17%-163.22M58.08%235.88M--63.92M--38.57M931.29%149.22M---17.95M
Operating gains losses -149.53%-19.47M118.23%39.31M-1,492.39%-215.69M-664.50%-50.13M842.34%27.69M-595.33%-13.55M---6.56M--2.94M-2,768.49%-1.95M--73K
Depreciation and amortization -5.45%77.71M23.17%82.19M-20.14%66.73M-30.87%15.18M-20.14%15.99M50.81%83.56M--21.96M--20.02M81.90%55.41M--30.46M
Deferred tax 196.44%75.25M-25.86%25.39M443.43%34.24M81.92%5.62M206.82%8.96M-2,424.01%-9.97M--3.09M--2.92M28.83%429K--333K
Other non cash items -21.12%12.51M-86.17%15.86M911.03%114.67M-17,038.05%-342.32M2,077.23%150.57M41.72%-14.14M--2.02M---7.62M35.74%-24.26M---37.75M
Change In working capital 186.89%24.12M-444.65%-27.76M113.90%8.05M-144.51%-25.64M-344.71%-17.65M-108.40%-57.95M---10.49M--7.21M-341.80%-27.81M--11.5M
-Change in receivables 135.22%13.75M-182.94%-39.02M345.15%47.05M4.85%10.54M-88.05%2.29M37.97%-19.19M--10.05M--19.16M-15,066.67%-30.94M---204K
-Change in payables and accrued expense -89.56%890K130.74%8.53M24.96%-27.74M-168.39%-25.9M-17.82%-20.13M-525.97%-36.97M---9.65M---17.08M-42.96%8.68M--15.22M
-Change in other working capital 246.18%9.48M124.34%2.74M-528.36%-11.25M5.60%-10.28M-96.24%193K67.72%-1.79M---10.89M--5.13M-58.06%-5.55M---3.51M
Cash from discontinued investing activities
Operating cash flow 113.46%283.58M-20.37%132.85M-20.50%166.84M-77.68%14.93M-72.04%17.68M38.68%209.85M--66.9M--63.24M4,114.01%151.33M--3.59M
Investing cash flow
Cash flow from continuing investing activities -2,010.23%-105.79M94.81%-5.01M-431.51%-96.52M-193.38%-23.63M-369.53%-18.6M-211.07%-18.16M25.31M6.9M-111.76%-5.84M49.64M
Net PPE purchase and sale -46.57%-13.35M-44.29%-9.11M-100.54%-6.31M74.44%-207K-383.40%-2.53M-59.50%-3.15M---810K---524K41.09%-1.97M---3.35M
Net intangibles purchase and sale -76.39%-78.4M-109.36%-44.45M10.07%-21.23M-279.44%-6.51M-72.33%-6.25M-132.75%-23.61M--3.63M---3.63M-20,184.00%-10.14M---50K
Net business purchase and sale 189.41%9.18M-241.02%-10.27M-63.25%7.28M--0--0-33.59%19.81M---5.15M--10.3M-19.70%29.84M--37.16M
Net investment purchase and sale 59.29%-28.92M-886.88%-71.06M-720.69%-7.2M----------1.16M----------0--0
Net other investing changes -98.59%1.76M276.23%124.71M-429.64%-70.77M-160.93%-17.2M-1,918.26%-10.06M43.90%-13.36M--28.22M--553K-251.47%-23.82M--15.72M
Cash from discontinued investing activities
Investing cash flow -2,010.23%-105.79M94.81%-5.01M-431.51%-96.52M-193.38%-23.63M-369.53%-18.6M-211.07%-18.16M--25.31M--6.9M-111.76%-5.84M--49.64M
Financing cash flow
Cash flow from continuing financing activities 58.72%-54.15M-27.12%-131.16M-159.48%-103.18M-226.97%-48.37M-73.38%-24.35M50.96%-39.76M-14.79M-14.04M-927.86%-81.09M-7.89M
Net issuance payments of debt 95.71%-5.43M-275.77%-126.65M-22.47%-33.71M64.69%-5.8M48.12%-1.54M-160.26%-27.52M---16.42M---2.96M-182.11%-10.58M--12.88M
Net common stock issuance --095.10%-2.63M-601.01%-53.69M-1,327.52%-43.85M26.71%-7.87M-223.12%-7.66M--3.57M---10.73M--6.22M--0
Cash dividends paid --0--0--0--0--0--0--0--0---10M--0
Net other financing activities -131,791.43%-46.16M99.76%-35K-260.20%-14.59M--1.49M---14.69M93.87%-4.05M---------225.51%-66.03M---20.28M
Cash from discontinued financing activities
Financing cash flow 58.72%-54.15M-27.12%-131.16M-159.48%-103.18M-226.97%-48.37M-73.38%-24.35M50.96%-39.76M---14.79M---14.04M-927.86%-81.09M---7.89M
Net cash flow
Beginning cash position -5.05%241.92M-13.28%254.78M112.07%293.8M38.99%272.68M112.07%293.8M86.30%138.54M--196.19M--138.54M178.74%74.37M--26.68M
Current changes in cash 3,815.38%123.65M89.87%-3.33M-121.63%-32.87M-173.72%-57.06M-145.04%-25.27M135.92%151.93M--77.41M--56.1M42.04%64.4M--45.34M
Effect of exchange rate changes 176.74%7.31M-54.81%-9.53M-284.92%-6.15M347.41%4.4M167.61%4.16M1,585.71%3.33M---1.78M--1.55M-109.54%-224K--2.35M
End cash Position 54.13%372.88M-5.05%241.92M-13.28%254.78M-19.06%220.02M38.99%272.68M112.07%293.8M--271.83M--196.19M86.30%138.54M--74.37M
Free cash flow 141.92%191.84M-43.07%79.3M-23.92%139.3M-88.22%8.22M-84.94%8.9M31.53%183.1M--69.72M--59.09M72,405.21%139.21M--192K
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified OpinionUnqualified OpinionUnqualified Opinion----Unqualified Opinion--------

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