Brightstar Lottery PLCBRSL

時価総額
PER
宝くじ・ゲーミング機器と商業決済の大手。ターンキー宝くじシステム、即席くじ印刷、プリペイド等の高頻度決済処理を展開。525超のグローバルライセンス保有、2022年9月14日にイタリア商業サービスを売却、2025年Q3終了までの合併想定。北米31顧客、国際30顧客を中心に展開。
2015年
12月31日
2016年
12月31日
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and cash equivalents6272941,057251663907591590572584
Restricted cash and cash equivalents---261231199218150167120
Trade and other receivables, net----1,006846903670685468
Inventory, Net270347320283162169183254317113
Other current assets424425408504572480589467382114
Assets held for sale-----8394--4,765
Total current assets2,4852,2903,0652,2872,6343,4402,4872,1312,1236,165
Contract Assets, Net----1,3081,068937899928581
Property, plant and equipment, net35035819418514613211911811985
Operating lease right-of-use assets----342288283254230102
Goodwill6,8306,8105,7245,5805,4514,7134,6564,4824,5072,650
Intangible assets, net3,3362,8742,2732,0451,8361,5771,4131,3751,55589
Other non-current assets9381,4982,4282,1091,9281,7741,4291,1741,004606
Total non-current assets12,62912,77112,09511,36211,0119,5528,8368,3028,3424,113
Total assets15,11515,06015,15913,64913,64512,99211,32210,43310,46510,278
Accounts payable1,0581,2161,2411,1421,1211,1261,035731797718
Current portion of long-term debt00599-462393-61-208
Short-Term Debt---353052-16-
Other current liabilities9231,0971,781817882846828837879619
Liabilities held for sale-----250---1,142
Total current liabilities2,0112,3423,6772,0022,4682,6151,9141,8481,6912,687
Long-term debt, less current portion8,3347,8637,7777,9777,6007,8576,4775,6905,6555,153
Deferred income taxes-762491446367333368305344170
Operating lease liabilities----31126626923921483
Other non-current liabilities462445446445414360323372609125
Total non-current liabilities9,7389,0708,7718,8948,6918,8167,4376,6076,8215,530
Total liabilities11,74911,41112,44710,89711,16011,4319,3518,4548,5138,217
Commitments and contingencies----------
Common Stock, Value, Issued20202020202021212121
Additional paid-in capital2,8162,8502,6772,5342,3962,3472,3292,1992,0651,931
Retained deficit-1338-1,032-1,008-1,020-1,920-1,439-1,164-1,008-660
Treasury stock, at cost; 7 shares at December 31, 2024 and December 31, 2023------41156156156
Accumulated other comprehensive income195161340262263330412529521516
Total IGT PLC’s shareholders’ equity3,3663,4262,3552,7522,4851,5611,9711,9791,9522,061
Non-controlling interests348357350944827784689550510409
Total shareholders’ equity3,3663,4262,3552,7522,4851,5611,9711,9791,9522,061
Total liabilities and shareholders’ equity15,11515,06015,15913,64913,64512,99211,32210,43310,46510,278