Financial summary

Summary year-end close and key ratios

KEUR 2018 2017 2016 2015* 2014*
Income statement          
Gaming income 26,696 20,263 16,253 9,517 6,568
Other operating income 3,916 3,204 6,670 903 645
TOTAL REVENUES 30,612 23,467 22,923 10,420 7,213
Gross profit 22,590 16,933 16,203 6,978 5,371
Operating profit/loss 7,006 5,258 4,413 -1,103 -413
Profit/loss after financial items 6,872 5,281 4,399 -1,103 86
STATEMENT OF FINANCIAL POSITION          
Assets 36,056 31,339 19,721 16,152 10,366
Equity 31,465 24,875 16,955 13,156 8,939
Liabilities 4,591 6,464 2,766 2,996 1,427
CASH FLOW          
Cash flows for the period 4,694 -2,953 3,745 262 2,084
KEY RATIOS          
Return on equity, % 24 21 26 -8 -3
Solidity, % 87 79 86  82 86
Total staff at year-end 198 194 126 200 130

* Converted from SEK to EUR retroactively