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BetMakers Technology Group Ltd (BET)

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  • 0.185
  • +0.005+2.78%
20min DelayNot Open May 6 16:00 AET
207.25MMarket Cap-6.85P/E (Static)

BetMakers Technology Group Ltd (BET) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Jun 30, 2025
(Q4)Jun 30, 2025
(FY)Jun 30, 2024
(Q4)Jun 30, 2024
(FY)Jun 30, 2023
(Q4)Jun 30, 2023
(FY)Jun 30, 2022
(Q4)Jun 30, 2022
(FY)Jun 30, 2021
(Q4)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments
3.35%30.31M
3.35%30.31M
-28.53%29.33M
-28.53%29.33M
-53.12%41.04M
-53.12%41.04M
-27.41%87.55M
-27.41%87.55M
281.37%120.61M
281.37%120.61M
-Cash and cash equivalents
3.35%30.31M
3.35%30.31M
-28.53%29.33M
-28.53%29.33M
-53.12%41.04M
-53.12%41.04M
-27.41%87.55M
-27.41%87.55M
281.37%120.61M
281.37%120.61M
Receivables
-5.88%13.32M
-5.88%13.32M
-48.79%14.16M
-48.79%14.16M
79.02%27.64M
79.02%27.64M
71.10%15.44M
71.10%15.44M
351.29%9.02M
351.29%9.02M
-Accounts receivable
-12.25%11.08M
-12.25%11.08M
-18.24%12.63M
-18.24%12.63M
31.83%15.45M
31.83%15.45M
39.12%11.72M
39.12%11.72M
583.53%8.42M
583.53%8.42M
-Other receivables
3.67%3.95M
3.67%3.95M
-72.43%3.81M
-72.43%3.81M
158.72%13.82M
158.72%13.82M
787.42%5.34M
787.42%5.34M
-21.57%601.97K
-21.57%601.97K
-Recievables adjustments allowances
25.14%-1.71M
25.14%-1.71M
-40.41%-2.28M
-40.41%-2.28M
-0.49%-1.63M
-0.49%-1.63M
---1.62M
---1.62M
----
----
Inventory
-23.80%2.85M
-23.80%2.85M
-10.34%3.74M
-10.34%3.74M
3.89%4.17M
3.89%4.17M
-8.64%4.01M
-8.64%4.01M
--4.39M
--4.39M
Prepaid assets
----
----
----
----
----
----
264.09%2.09M
264.09%2.09M
852.31%575.13K
852.31%575.13K
Other current assets
76.51%2.95M
76.51%2.95M
-32.38%1.67M
-32.38%1.67M
--2.47M
--2.47M
----
----
----
----
Total current assets
1.10%49.44M
1.10%49.44M
-35.08%48.9M
-35.08%48.9M
-30.96%75.33M
-30.96%75.33M
-18.95%109.1M
-18.95%109.1M
299.59%134.6M
299.59%134.6M
Non current assets
Net PPE
-37.13%17.18M
-37.13%17.18M
-16.45%27.32M
-16.45%27.32M
10.09%32.7M
10.09%32.7M
114.29%29.7M
114.29%29.7M
1,876.86%13.86M
1,876.86%13.86M
-Gross PPE
-2.56%39.26M
-2.56%39.26M
1.83%40.29M
1.83%40.29M
15.22%39.57M
15.22%39.57M
127.28%34.34M
127.28%34.34M
1,053.66%15.11M
1,053.66%15.11M
-Accumulated depreciation
-70.24%-22.08M
-70.24%-22.08M
-88.82%-12.97M
-88.82%-12.97M
-48.00%-6.87M
-48.00%-6.87M
-271.27%-4.64M
-271.27%-4.64M
-105.43%-1.25M
-105.43%-1.25M
Non current accounts receivable
----
----
----
----
----
----
----
----
86.94%1.57M
86.94%1.57M
Goodwill and other intangible assets
1.55%60.04M
1.55%60.04M
4.27%59.13M
4.27%59.13M
-13.77%56.71M
-13.77%56.71M
-3.25%65.76M
-3.25%65.76M
238.64%67.97M
238.64%67.97M
-Goodwill
0.00%30.76M
0.00%30.76M
0.00%30.76M
0.00%30.76M
0.70%30.76M
0.70%30.76M
-31.05%30.55M
-31.05%30.55M
206.49%44.3M
206.49%44.3M
-Other intangible assets
3.22%29.28M
3.22%29.28M
9.34%28.37M
9.34%28.37M
-26.32%25.94M
-26.32%25.94M
48.78%35.21M
48.78%35.21M
321.38%23.67M
321.38%23.67M
Defined pension benefit
----
----
----
----
----
----
--47K
--47K
----
----
Non current deferred assets
-59.43%5.63M
-59.43%5.63M
-59.19%13.89M
-59.19%13.89M
84.37%34.02M
84.37%34.02M
50.09%18.45M
50.09%18.45M
68.54%12.3M
68.54%12.3M
Other non current assets
31.48%1.87M
31.48%1.87M
79.29%1.42M
79.29%1.42M
1,585.11%792K
1,585.11%792K
--47K
--47K
----
----
Total non current assets
-16.74%84.72M
-16.74%84.72M
-18.08%101.75M
-18.08%101.75M
8.96%124.22M
8.96%124.22M
19.14%114.01M
19.14%114.01M
231.04%95.7M
231.04%95.7M
Total assets
-10.95%134.16M
-10.95%134.16M
-24.50%150.65M
-24.50%150.65M
-10.56%199.55M
-10.56%199.55M
-3.12%223.11M
-3.12%223.11M
267.93%230.3M
267.93%230.3M
Liabilities
Current liabilities
Current debt and capital lease obligation
-20.89%1.23M
-20.89%1.23M
11.06%1.56M
11.06%1.56M
2.56%1.4M
2.56%1.4M
108.70%1.37M
108.70%1.37M
480.63%654.53K
480.63%654.53K
-Current debt
----
----
----
----
----
----
166.76%776K
166.76%776K
--290.9K
--290.9K
-Current capital lease obligation
-20.89%1.23M
-20.89%1.23M
11.06%1.56M
11.06%1.56M
137.46%1.4M
137.46%1.4M
62.25%590K
62.25%590K
222.57%363.63K
222.57%363.63K
Payables
-0.85%31.49M
-0.85%31.49M
-9.45%31.76M
-9.45%31.76M
123.38%35.08M
123.38%35.08M
-10.54%15.7M
-10.54%15.7M
1,267.11%17.55M
1,267.11%17.55M
-accounts payable
24.18%6.72M
24.18%6.72M
32.93%5.41M
32.93%5.41M
37.56%4.07M
37.56%4.07M
-69.10%2.96M
-69.10%2.96M
1,443.63%9.57M
1,443.63%9.57M
-Other payable
-5.99%24.78M
-5.99%24.78M
-15.01%26.36M
-15.01%26.36M
143.29%31.01M
143.29%31.01M
59.72%12.75M
59.72%12.75M
1,102.17%7.98M
1,102.17%7.98M
Current provisions
----
----
----
----
--651K
--651K
----
----
148.61%40.9K
148.61%40.9K
Pension and other retirement benefit plans
-15.79%2.04M
-15.79%2.04M
3.29%2.42M
3.29%2.42M
-17.62%2.34M
-17.62%2.34M
-2.39%2.84M
-2.39%2.84M
996.22%2.91M
996.22%2.91M
Current deferred liabilities
--1.8M
--1.8M
----
----
43.90%472K
43.90%472K
201.00%328K
201.00%328K
--108.97K
--108.97K
Other current liabilities
21.02%1.78M
21.02%1.78M
-72.51%1.47M
-72.51%1.47M
419.73%5.35M
419.73%5.35M
19.00%1.03M
19.00%1.03M
--864.72K
--864.72K
Current liabilities
3.05%38.34M
3.05%38.34M
-17.85%37.21M
-17.85%37.21M
112.94%45.29M
112.94%45.29M
-3.91%21.27M
-3.91%21.27M
1,218.46%22.14M
1,218.46%22.14M
Non current liabilities
Long term debt and capital lease obligation
-84.87%242K
-84.87%242K
-51.66%1.6M
-51.66%1.6M
-72.98%3.31M
-72.98%3.31M
11.76%12.25M
11.76%12.25M
3,028.57%10.96M
3,028.57%10.96M
-Long term debt
----
----
----
----
----
----
-13.72%7.62M
-13.72%7.62M
--8.83M
--8.83M
-Long term capital lease obligation
-84.87%242K
-84.87%242K
-51.66%1.6M
-51.66%1.6M
-28.55%3.31M
-28.55%3.31M
117.33%4.63M
117.33%4.63M
508.31%2.13M
508.31%2.13M
Long term provisions
----
----
----
----
--127K
--127K
----
----
204.98%76.31K
204.98%76.31K
Employee benefits
18.97%345K
18.97%345K
31.82%290K
31.82%290K
-14.73%220K
-14.73%220K
11.40%258K
11.40%258K
68.61%231.6K
68.61%231.6K
Other non current liabilities
----
----
----
----
----
----
373.11%7.62M
373.11%7.62M
--1.61M
--1.61M
Total non current liabilities
-68.93%587K
-68.93%587K
-48.32%1.89M
-48.32%1.89M
-81.83%3.66M
-81.83%3.66M
56.27%20.12M
56.27%20.12M
2,411.60%12.87M
2,411.60%12.87M
Total liabilities
-0.43%38.93M
-0.43%38.93M
-20.12%39.1M
-20.12%39.1M
18.27%48.95M
18.27%48.95M
18.22%41.39M
18.22%41.39M
1,497.52%35.01M
1,497.52%35.01M
Shareholders'equity
Share capital
5.22%321.11M
5.22%321.11M
1.73%305.19M
1.73%305.19M
18.82%300.01M
18.82%300.01M
11.71%252.49M
11.71%252.49M
166.09%226.02M
166.09%226.02M
-common stock
5.22%321.11M
5.22%321.11M
1.73%305.19M
1.73%305.19M
18.82%300.01M
18.82%300.01M
11.71%252.49M
11.71%252.49M
166.09%226.02M
166.09%226.02M
Retained earnings
-13.61%-231.24M
-13.61%-231.24M
-23.13%-203.54M
-23.13%-203.54M
-24.55%-165.31M
-24.55%-165.31M
-204.89%-132.72M
-204.89%-132.72M
-66.68%-43.53M
-66.68%-43.53M
Gains losses not affecting retained earnings
-45.91%5.36M
-45.91%5.36M
-37.70%9.9M
-37.70%9.9M
-77.13%15.9M
-77.13%15.9M
438.50%69.52M
438.50%69.52M
720.53%12.91M
720.53%12.91M
Total stockholders'equity
-14.64%95.23M
-14.64%95.23M
-25.92%111.55M
-25.92%111.55M
-20.44%150.6M
-20.44%150.6M
-3.13%189.29M
-3.13%189.29M
223.51%195.4M
223.51%195.4M
Total equity
-14.64%95.23M
-14.64%95.23M
-25.92%111.55M
-25.92%111.55M
-20.44%150.6M
-20.44%150.6M
-3.13%189.29M
-3.13%189.29M
223.51%195.4M
223.51%195.4M
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
(FY)Jun 30, 2025(Q4)Jun 30, 2025(FY)Jun 30, 2024(Q4)Jun 30, 2024(FY)Jun 30, 2023(Q4)Jun 30, 2023(FY)Jun 30, 2022(Q4)Jun 30, 2022(FY)Jun 30, 2021(Q4)Jun 30, 2021
Assets
Current assets
Cash, cash equivalents and short term investments 3.35%30.31M3.35%30.31M-28.53%29.33M-28.53%29.33M-53.12%41.04M-53.12%41.04M-27.41%87.55M-27.41%87.55M281.37%120.61M281.37%120.61M
-Cash and cash equivalents 3.35%30.31M3.35%30.31M-28.53%29.33M-28.53%29.33M-53.12%41.04M-53.12%41.04M-27.41%87.55M-27.41%87.55M281.37%120.61M281.37%120.61M
Receivables -5.88%13.32M-5.88%13.32M-48.79%14.16M-48.79%14.16M79.02%27.64M79.02%27.64M71.10%15.44M71.10%15.44M351.29%9.02M351.29%9.02M
-Accounts receivable -12.25%11.08M-12.25%11.08M-18.24%12.63M-18.24%12.63M31.83%15.45M31.83%15.45M39.12%11.72M39.12%11.72M583.53%8.42M583.53%8.42M
-Other receivables 3.67%3.95M3.67%3.95M-72.43%3.81M-72.43%3.81M158.72%13.82M158.72%13.82M787.42%5.34M787.42%5.34M-21.57%601.97K-21.57%601.97K
-Recievables adjustments allowances 25.14%-1.71M25.14%-1.71M-40.41%-2.28M-40.41%-2.28M-0.49%-1.63M-0.49%-1.63M---1.62M---1.62M--------
Inventory -23.80%2.85M-23.80%2.85M-10.34%3.74M-10.34%3.74M3.89%4.17M3.89%4.17M-8.64%4.01M-8.64%4.01M--4.39M--4.39M
Prepaid assets ------------------------264.09%2.09M264.09%2.09M852.31%575.13K852.31%575.13K
Other current assets 76.51%2.95M76.51%2.95M-32.38%1.67M-32.38%1.67M--2.47M--2.47M----------------
Total current assets 1.10%49.44M1.10%49.44M-35.08%48.9M-35.08%48.9M-30.96%75.33M-30.96%75.33M-18.95%109.1M-18.95%109.1M299.59%134.6M299.59%134.6M
Non current assets
Net PPE -37.13%17.18M-37.13%17.18M-16.45%27.32M-16.45%27.32M10.09%32.7M10.09%32.7M114.29%29.7M114.29%29.7M1,876.86%13.86M1,876.86%13.86M
-Gross PPE -2.56%39.26M-2.56%39.26M1.83%40.29M1.83%40.29M15.22%39.57M15.22%39.57M127.28%34.34M127.28%34.34M1,053.66%15.11M1,053.66%15.11M
-Accumulated depreciation -70.24%-22.08M-70.24%-22.08M-88.82%-12.97M-88.82%-12.97M-48.00%-6.87M-48.00%-6.87M-271.27%-4.64M-271.27%-4.64M-105.43%-1.25M-105.43%-1.25M
Non current accounts receivable --------------------------------86.94%1.57M86.94%1.57M
Goodwill and other intangible assets 1.55%60.04M1.55%60.04M4.27%59.13M4.27%59.13M-13.77%56.71M-13.77%56.71M-3.25%65.76M-3.25%65.76M238.64%67.97M238.64%67.97M
-Goodwill 0.00%30.76M0.00%30.76M0.00%30.76M0.00%30.76M0.70%30.76M0.70%30.76M-31.05%30.55M-31.05%30.55M206.49%44.3M206.49%44.3M
-Other intangible assets 3.22%29.28M3.22%29.28M9.34%28.37M9.34%28.37M-26.32%25.94M-26.32%25.94M48.78%35.21M48.78%35.21M321.38%23.67M321.38%23.67M
Defined pension benefit --------------------------47K--47K--------
Non current deferred assets -59.43%5.63M-59.43%5.63M-59.19%13.89M-59.19%13.89M84.37%34.02M84.37%34.02M50.09%18.45M50.09%18.45M68.54%12.3M68.54%12.3M
Other non current assets 31.48%1.87M31.48%1.87M79.29%1.42M79.29%1.42M1,585.11%792K1,585.11%792K--47K--47K--------
Total non current assets -16.74%84.72M-16.74%84.72M-18.08%101.75M-18.08%101.75M8.96%124.22M8.96%124.22M19.14%114.01M19.14%114.01M231.04%95.7M231.04%95.7M
Total assets -10.95%134.16M-10.95%134.16M-24.50%150.65M-24.50%150.65M-10.56%199.55M-10.56%199.55M-3.12%223.11M-3.12%223.11M267.93%230.3M267.93%230.3M
Liabilities
Current liabilities
Current debt and capital lease obligation -20.89%1.23M-20.89%1.23M11.06%1.56M11.06%1.56M2.56%1.4M2.56%1.4M108.70%1.37M108.70%1.37M480.63%654.53K480.63%654.53K
-Current debt ------------------------166.76%776K166.76%776K--290.9K--290.9K
-Current capital lease obligation -20.89%1.23M-20.89%1.23M11.06%1.56M11.06%1.56M137.46%1.4M137.46%1.4M62.25%590K62.25%590K222.57%363.63K222.57%363.63K
Payables -0.85%31.49M-0.85%31.49M-9.45%31.76M-9.45%31.76M123.38%35.08M123.38%35.08M-10.54%15.7M-10.54%15.7M1,267.11%17.55M1,267.11%17.55M
-accounts payable 24.18%6.72M24.18%6.72M32.93%5.41M32.93%5.41M37.56%4.07M37.56%4.07M-69.10%2.96M-69.10%2.96M1,443.63%9.57M1,443.63%9.57M
-Other payable -5.99%24.78M-5.99%24.78M-15.01%26.36M-15.01%26.36M143.29%31.01M143.29%31.01M59.72%12.75M59.72%12.75M1,102.17%7.98M1,102.17%7.98M
Current provisions ------------------651K--651K--------148.61%40.9K148.61%40.9K
Pension and other retirement benefit plans -15.79%2.04M-15.79%2.04M3.29%2.42M3.29%2.42M-17.62%2.34M-17.62%2.34M-2.39%2.84M-2.39%2.84M996.22%2.91M996.22%2.91M
Current deferred liabilities --1.8M--1.8M--------43.90%472K43.90%472K201.00%328K201.00%328K--108.97K--108.97K
Other current liabilities 21.02%1.78M21.02%1.78M-72.51%1.47M-72.51%1.47M419.73%5.35M419.73%5.35M19.00%1.03M19.00%1.03M--864.72K--864.72K
Current liabilities 3.05%38.34M3.05%38.34M-17.85%37.21M-17.85%37.21M112.94%45.29M112.94%45.29M-3.91%21.27M-3.91%21.27M1,218.46%22.14M1,218.46%22.14M
Non current liabilities
Long term debt and capital lease obligation -84.87%242K-84.87%242K-51.66%1.6M-51.66%1.6M-72.98%3.31M-72.98%3.31M11.76%12.25M11.76%12.25M3,028.57%10.96M3,028.57%10.96M
-Long term debt -------------------------13.72%7.62M-13.72%7.62M--8.83M--8.83M
-Long term capital lease obligation -84.87%242K-84.87%242K-51.66%1.6M-51.66%1.6M-28.55%3.31M-28.55%3.31M117.33%4.63M117.33%4.63M508.31%2.13M508.31%2.13M
Long term provisions ------------------127K--127K--------204.98%76.31K204.98%76.31K
Employee benefits 18.97%345K18.97%345K31.82%290K31.82%290K-14.73%220K-14.73%220K11.40%258K11.40%258K68.61%231.6K68.61%231.6K
Other non current liabilities ------------------------373.11%7.62M373.11%7.62M--1.61M--1.61M
Total non current liabilities -68.93%587K-68.93%587K-48.32%1.89M-48.32%1.89M-81.83%3.66M-81.83%3.66M56.27%20.12M56.27%20.12M2,411.60%12.87M2,411.60%12.87M
Total liabilities -0.43%38.93M-0.43%38.93M-20.12%39.1M-20.12%39.1M18.27%48.95M18.27%48.95M18.22%41.39M18.22%41.39M1,497.52%35.01M1,497.52%35.01M
Shareholders'equity
Share capital 5.22%321.11M5.22%321.11M1.73%305.19M1.73%305.19M18.82%300.01M18.82%300.01M11.71%252.49M11.71%252.49M166.09%226.02M166.09%226.02M
-common stock 5.22%321.11M5.22%321.11M1.73%305.19M1.73%305.19M18.82%300.01M18.82%300.01M11.71%252.49M11.71%252.49M166.09%226.02M166.09%226.02M
Retained earnings -13.61%-231.24M-13.61%-231.24M-23.13%-203.54M-23.13%-203.54M-24.55%-165.31M-24.55%-165.31M-204.89%-132.72M-204.89%-132.72M-66.68%-43.53M-66.68%-43.53M
Gains losses not affecting retained earnings -45.91%5.36M-45.91%5.36M-37.70%9.9M-37.70%9.9M-77.13%15.9M-77.13%15.9M438.50%69.52M438.50%69.52M720.53%12.91M720.53%12.91M
Total stockholders'equity -14.64%95.23M-14.64%95.23M-25.92%111.55M-25.92%111.55M-20.44%150.6M-20.44%150.6M-3.13%189.29M-3.13%189.29M223.51%195.4M223.51%195.4M
Total equity -14.64%95.23M-14.64%95.23M-25.92%111.55M-25.92%111.55M-20.44%150.6M-20.44%150.6M-3.13%189.29M-3.13%189.29M223.51%195.4M223.51%195.4M
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Market Insights
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