marketcaparena

SEGG

Sports Entertainment Gaming Global Corp

Company overview

Market capitalization
$65.48M
Employees
12
Latest publication
2026-09-29
About Sports Entertainment Gaming Global Corp

Sports Entertainment Gaming Global Corporation, doing business as SEGG Media Corp., SEGG Media, and SEGG, a digital publisher, provides lottery data results, jackpots, results, and other data. The company delivers daily results of domestic and international lottery games from approximately 40 countries, including the United States, Canada, and the United Kingdom to digital publishers and media organizations. Its B2B API platform provides users with the ability to purchase legally sanctioned draw lottery games through a mobile or computer device, as well as engages in sweepstakes campaigns. The company also operates Sports.com that connects sports content with audiences. The company was formerly known as Lottery.com Inc. and changed its name to Sports Entertainment Gaming Global Corporation in January 2026. Sports Entertainment Gaming Global Corporation was incorporated in 2016 and is headquartered in Fort Worth, Texas.

Company website

Financial statements

Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20192019-12-31 · USDFY 20182018-12-31 · USDFY 20172017-12-31 · USD
Total Revenue559,590USD———
Cost Of Revenue774,823USD———
Gross Profit-215,233USD———
General And Administrative Expenses4,306,273USD———
Total Operating Expenses17,652,650USD1,100,138USD699,334USD387USD
Operating Income-17,867,883USD-1,100,138USD-699,334USD-387USD
Total Other Income Expense Net-2,920,369USD4,324,060USD2,478,062USD—
Net Interest Income-217,905USD———
Professional Fees6,637,644USD———
Depreciation And Amortization4,238,921USD———
Income Before Tax-20,788,252USD3,223,922USD1,778,728USD-387USD
Income Tax Expense16,815USD690,816USD374,645USD—
Net Income-20,805,067USD2,533,106USD1,404,083USD-387USD
Minority Interest-220,969USD———
Other Operating Expenses—1,100,138USD699,334USD387USD
Ebitda—-1,100,138USD-699,334USD-387USD
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Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ2 20212021-06-30 · USDQ4 20202020-12-31 · USDQ3 20202020-09-30 · USDQ1 20202020-03-31 · USDQ4 20192019-12-31 · USDQ3 20192019-09-30 · USDQ2 20192019-06-30 · USDQ1 20192019-03-31 · USD
Total Revenue9,878,497USD———————
Cost Of Revenue3,897,482USD———————
Gross Profit5,981,015USD———————
Unclassified Operating Expenses4,909,194USD———————
Total Operating Expenses4,909,194USD256,089USD—262,564USD316,440USD244,000USD313,480USD226,217USD
Operating Income1,071,821USD-256,089USD-532,732USD-262,564USD-316,440USD-244,000USD-313,480USD-226,217USD
Interest Expense2,742,163USD———————
Income Before Tax-1,418,571USD-2,601,230USD-526,465USD-85USD237,498USD895,242USD1,069,080USD1,022,102USD
Net Income-1,418,571USD-2,548,083USD-362,526USD-305USD187,457USD723,357USD827,477USD794,815USD
Ebit1,323,592USD———————
Ebitda2,131,974USD-256,089USD-532,732USD-262,564USD-316,440USD-244,000USD-313,480USD-226,217USD
Depreciation And Amortization808,382USD———————
Total Other Income Expense Net-2,490,392USD-2,345,141USD6,267USD262,479USD553,938USD1,139,243USD1,382,560USD1,248,319USD
Other Operating Expenses—256,089USD—262,564USD316,440USD244,000USD313,480USD226,217USD
Income Tax Expense—-53,147USD-163,939USD220USD50,041USD171,885USD241,603USD227,287USD
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Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USDQ1 20242024-03-31 · USD
Total Assets55,660,225USD73,432,770USD53,071,846USD53,439,131USD52,942,271USD58,403,889USD62,090,053USD63,055,391USD
Cash And Equivalents171,524USD———————
Total Current Assets12,880,286USD18,729,041USD17,187,985USD16,459,312USD15,892,458USD20,513,946USD20,486,454USD20,274,993USD
Other Current Assets3,843,228USD17,646,283USD16,344,964USD15,503,502USD15,330,294USD20,019,023USD20,218,367USD19,945,874USD
Other Non Current Assets16,818,711USD———————
Total Liabilities31,899,358USD———————
Total Current Liabilities31,899,358USD29,948,313USD32,397,111USD31,532,777USD30,397,442USD30,729,836USD29,396,761USD28,443,224USD
Other Current Liabilities2,065,537USD———————
Total Stockholder Equity23,277,057USD32,886,041USD19,828,504USD19,858,709USD20,479,912USD25,682,807USD30,661,222USD32,549,058USD
Total Equity Including Noncontrolling Interest23,760,867USD———————
Deferred Revenue21,990USD———————
Net Receivables231,259USD762,122USD580,451USD487,133USD494,129USD434,457USD240,135USD245,069USD
Property Plant Equipment Net1,095USD1,831USD2,660USD3,426USD12,124USD13,817USD15,350USD18,488USD
Goodwill9,061,675USD———————
Intangible Assets14,648,458USD30,505,537USD11,684,840USD12,780,032USD12,569,165USD14,994,949USD15,226,072USD16,399,733USD
Accounts Payable8,556,029USD8,688,802USD8,708,766USD8,496,714USD8,241,311USD8,231,152USD8,076,646USD7,965,863USD
Common Stock6,880USD4,391USD32,429USD26,700USD18,327USD10,124USD7,447USD4,728USD
Retained Earnings-284,007,361USD-275,435,350USD-270,879,151USD-266,775,196USD-263,468,728USD-254,879,047USD-246,784,505USD-240,815,185USD
Accumulated Other Comprehensive Income264,768USD-21,601USD47,435USD-182,283USD16,880USD243,980USD-51,595USD16,673USD
Total Liab—29,948,313USD32,397,111USD31,532,777USD30,397,442USD30,729,836USD29,396,761USD28,443,224USD
Other Current Liab—15,348,986USD18,210,998USD16,600,313USD15,795,354USD15,809,771USD14,024,889USD13,420,435USD
Capital Stock—4,391USD32,429USD26,700USD18,327USD10,124USD7,447USD4,996USD
Good Will—9,061,675USD9,061,675USD9,061,675USD9,061,675USD7,746,491USD11,227,491USD11,227,491USD
Cash—320,636USD262,570USD468,677USD68,035USD60,466USD27,952USD84,050USD
Cash And Short Term Investments—320,636USD262,570USD468,677USD68,035USD60,466USD27,952USD84,050USD
Current Deferred Revenue—169,643USD196,429USD223,214USD250,000USD276,786USD303,572USD330,257USD
Net Debt—5,420,246USD5,018,348USD5,743,859USD6,042,742USD6,351,661USD6,963,702USD6,642,619USD
Short Term Debt—5,740,882USD5,280,918USD6,212,536USD6,110,777USD6,412,127USD6,991,654USD6,726,669USD
Short Long Term Debt—5,740,882USD5,280,918USD6,212,536USD6,110,777USD6,412,127USD6,991,654USD6,726,669USD
Short Long Term Debt Total—5,740,882USD5,280,918USD6,212,536USD6,110,777USD6,412,127USD6,991,654USD6,726,669USD
Long Term Investments—250,000USD250,000USD250,000USD250,000USD250,000USD250,000USD250,000USD
Property Plant Equipment Gross—2,159,820USD2,167,011USD2,160,354USD2,167,011USD2,167,777USD2,167,777USD2,167,297USD
Common Stock Shares Outstanding—3,728,546shares2,901,875shares2,399,069shares1,832,685shares1,009,986shares406,879shares400,838shares
Non Current Assets Total—54,703,729USD35,883,860USD36,979,819USD37,049,813USD37,889,943USD41,603,599USD42,780,398USD
Non Current Liabilities Total—0USD2USD0USD0USD0USD0USD0USD
Non Currrent Assets Other—12,884,686USD12,884,685USD12,884,686USD12,906,849USD12,884,686USD12,884,686USD12,884,686USD
Net Working Capital—-11,219,272USD-15,209,126USD-15,073,465USD-14,504,984USD-10,215,890USD-8,910,307USD-8,168,231USD
Unclassified Non Current Assets—2,000,000USD—1,594,183USD1,859,218USD2,000,000USD1,999,480USD2,000,000USD
Unclassified Current Liabilities—-5,740,882USD-5,280,918USD-6,212,536USD-6,110,777USD-6,412,127USD-6,991,654USD-6,726,669USD
Unclassified Equity—308,334,210USD290,595,362USD286,762,788USD283,895,106USD280,297,626USD277,482,428USD273,337,846USD
Other Assets——1,647,205USD405,817USD390,782USD—520USD—
Non Current Liabilities Other——2USD—————
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USDFY 20192019-12-31 · USDFY 20182018-12-31 · USD
Total Assets55,660,225USD52,942,271USD64,408,563USD79,380,253USD104,534,006USD50,732,099USD74,536,195USD209,073,922USD
Cash And Equivalents171,524USD———————
Total Current Assets12,880,286USD15,892,458USD20,343,203USD20,439,286USD55,840,989USD33,602,849USD158,378USD1,319,660USD
Other Current Assets3,843,228USD15,330,294USD19,927,791USD20,127,873USD23,122,838USD22,801,143USD102,917USD63,843USD
Other Non Current Assets16,818,711USD———————
Total Liabilities31,899,358USD———————
Total Current Liabilities31,899,358USD30,397,442USD27,818,945USD17,563,768USD10,532,638USD34,087,126USD1,018,807USD958,306USD
Other Current Liabilities2,065,537USD———————
Total Stockholder Equity23,277,057USD20,479,912USD34,469,189USD59,416,309USD91,220,107USD16,634,972USD68,486,137USD203,083,515USD
Total Equity Including Noncontrolling Interest23,760,867USD———————
Deferred Revenue21,990USD———————
Net Receivables231,259USD494,129USD55,586USD208,647USD79,181USD26,195USD——
Property Plant Equipment Net1,095USD12,124USD21,309USD108,078USD141,279USD670,952USD——
Goodwill9,061,675USD———————
Intangible Assets14,648,458USD12,569,165USD17,681,874USD23,982,495USD28,710,980USD16,208,298USD——
Accounts Payable8,556,029USD8,241,311USD8,049,531USD7,607,633USD1,006,535USD2,176,621USD——
Common Stock6,880USD18,327USD2,877USD2,527USD50,256USD22,658USD63,493,278USD7,071USD
Retained Earnings-284,007,361USD-263,468,728USD-235,132,590USD-208,187,210USD-148,188,138USD-95,140,568USD3,934,831USD1,401,725USD
Accumulated Other Comprehensive Income264,768USD16,880USD-91,667USD3,622USD-655USD———
Total Liab—30,397,442USD27,818,945USD17,563,768USD10,533,807USD34,097,126USD6,050,058USD5,990,407USD
Other Current Liab—15,795,354USD13,385,602USD5,736,173USD4,592,428USD3,057,067USD838,807USD533,306USD
Capital Stock—18,327USD2,877USD2,527USD50,256USD———
Good Will—9,061,675USD11,227,491USD19,590,758USD19,590,758USD———
Other Assets—390,782USD—712,373USD————
Cash—68,035USD359,826USD102,766USD32,638,970USD10,775,511USD55,461USD1,255,817USD
Cash And Short Term Investments—68,035USD359,826USD102,766USD32,638,970USD10,775,511USD55,461USD1,255,817USD
Current Deferred Revenue—250,000USD357,143USD464,286USD1,162,335USD7,763,593USD——
Net Debt—6,042,742USD5,666,843USD3,652,910USD-28,867,630USD10,324,334USD124,539USD-830,817USD
Short Term Debt—6,110,777USD6,026,669USD3,755,676USD3,771,340USD21,089,845USD180,000USD425,000USD
Short Long Term Debt—6,110,777USD6,026,669USD3,755,676USD3,771,340USD———
Short Long Term Debt Total—6,110,777USD6,026,669USD3,755,676USD3,771,340USD21,099,845USD180,000USD425,000USD
Long Term Investments—250,000USD250,000USD250,000USD250,000USD———
Property Plant Equipment Gross—2,167,011USD2,167,297USD2,167,297USD2,040,032USD———
Common Stock Shares Outstanding—863,755shares260,471shares252,217shares129,994shares113,290shares—124,961shares
Non Current Assets Total—37,049,813USD44,065,360USD58,940,967USD48,693,017USD17,129,250USD74,377,817USD207,754,262USD
Non Current Liabilities Total—0USD0USD0USD1,168USD10,000USD5,031,250USD5,032,101USD
Non Currrent Assets Other—12,906,849USD12,884,686USD13,009,636USD—-217,086USD1,200USD1,200USD
Net Working Capital—-14,504,984USD-7,475,742USD2,875,518USD45,308,351USD———
Unclassified Non Current Assets—1,859,218USD2,000,000USD1,287,627USD——74,376,617USD207,753,062USD
Unclassified Current Liabilities—-6,110,777USD-6,026,669USD-3,755,676USD-3,771,340USD———
Unclassified Equity—283,895,106USD269,687,692USD267,594,843USD239,308,388USD111,752,882USD1,058,028USD201,674,719USD
Non Current Liabilities Other————1,169USD———
Unclassified Non Current Liabilities——————5,031,250USD5,032,101USD
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USDFY 20192019-12-31 · USDFY 20172017-12-31 · USD
Net Income-20,303,608USD-28,221,605USD-25,563,699USD-59,999,072USD-53,047,570USD-5,812,663USD2,533,106USD-387USD
Depreciation4,523,487USD5,020,647USD5,691,322USD5,601,374USD4,292,606USD1,533,994USD——
Unclassified Operating Cash Flow16,226,702USD-1,640,274USD-2,093,199USD-27,949,257USD-16,136,124USD———
Change To Account Receivables262,870USD-688,543USD153,062USD-2,129,465USD-18,852USD———
Change To Liabilities-1,849,642USD———————
Change In Working Capital-3,877,002USD5,679,692USD8,680,010USD-5,098,562USD-7,027,179USD8,131,964USD266,428USD—
Operating Cash Flow-3,430,421USD———————
Investing Cash Flow-2,566,849USD———————
Financing Cash Flow6,272,002USD———————
Effect Of Forex Changes On Cash-171,243USD———————
Change In Cash103,489USD-291,791USD257,060USD-32,536,204USD21,863,459USD10,720,050USD-1,200,356USD87,448USD
End Cash Flow171,524USD———————
Stock Based Compensation—1,640,274USD2,093,199USD27,949,257USD14,483,057USD———
Other Non Cash Items—16,001,487USD9,083,146USD28,196,531USD34,249,110USD843,746USD-4,324,060USD—
Total Cash From Operating Activities—-1,519,779USD-2,109,221USD-31,299,729USD-23,186,100USD4,697,041USD-1,525,377USD-387USD
Capital Expenditures—-1,549,184USD0USD-127,261USD-27,470USD-21,911USD-3USD-3USD
Free Cash Flow—-1,519,780USD-2,109,220USD-31,426,990USD-23,213,570USD4,675,130USD-1,525,380USD-390USD
Investments—-1,549,184USD0USD-1,252,088USD-13,944,776USD———
Total Cashflows From Investing Activities—-1,549,184USD—-1,252,088USD-13,944,776USD-21,915USD137,700,505USD—
Net Borrowings—2,885,719USD2,270,993USD-15,664USD16,835,787USD———
Total Cash From Financing Activities—2,885,719USD2,270,993USD-15,664USD58,994,990USD5,941,893USD-137,375,484USD87,835USD
Begin Period Cash Flow—359,826USD102,766USD32,638,970USD10,775,511USD55,461USD1,255,817USD55,955USD
End Period Cash Flow—68,035USD359,826USD102,766USD32,638,970USD10,775,511USD55,461USD143,403USD
Unclassified Investing Cash Flow—1,549,184USD—1,252,084USD————
Other Cashflows From Investing Activities———-1,124,823USD-517,894USD—138,200,505USD—
Other Cashflows From Financing Activities————42,159,203USD———
Sale Purchase Of Stock——————-137,130,484USD—
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Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USDQ1 20242024-03-31 · USDQ4 20232023-12-31 · USD
Net Income-4,441,760USD-3,878,027USD-3,306,468USD-8,448,765USD-7,933,776USD-5,969,321USD-5,594,337USD-14,722,528USD
Depreciation1,180,132USD1,074,132USD1,026,826USD1,197,005USD1,207,913USD1,330,745USD1,284,982USD1,472,415USD
Stock Based Compensation-10,200,154USD3,149,806USD0USD-8,981,549USD3,091,027USD3,879,141USD3,651,655USD—
Other Non Cash Items2,352,532USD-733,345USD2,690,681USD952,479USD7,445,807USD3,849,529USD3,478,268USD8,148,997USD
Change To Account Receivables-181,671USD-93,318USD6,996USD-278,327USD-194,322USD4,934USD-220,828USD86,005USD
Change In Working Capital-3,239,598USD369,486USD513,861USD3,826,749USD1,678,853USD420,993USD-246,903USD3,758,427USD
Total Cash From Operating Activities-4,148,694USD-3,167,754USD924,900USD-2,472,532USD2,398,797USD-368,054USD-1,077,990USD-1,342,689USD
Capital Expenditures-4USD-4USD0USD-664,278USD-3USD-4USD0USD0USD
Free Cash Flow-4,148,690USD-3,167,750USD924,900USD-2,472,530USD2,398,800USD-368,050USD-1,077,990USD-1,342,690USD
Total Cashflows From Investing Activities-1,487,115USD641,686USD-1,250,000USD-664,278USD-884,906USD———
Net Borrowings2,644,812USD1,160,810USD697,022USD2,917,279USD-731,560USD0USD——
Total Cash From Financing Activities5,681,890USD2,427,441USD697,022USD2,917,279USD-996,545USD264,985USD700,000USD1,400,017USD
Sale Purchase Of Stock84,297USD-261,393USD——————
Change In Cash58,066USD-206,107USD400,642USD7,569USD32,514USD-56,098USD-275,776USD296,091USD
Begin Period Cash Flow262,570USD468,677USD68,035USD60,466USD27,952USD84,050USD359,826USD63,735USD
End Period Cash Flow320,636USD262,570USD468,677USD68,035USD60,466USD27,952USD84,050USD359,826USD
Other Cashflows From Investing Activities-1,487,115USD-858,314USD250,000USD—-884,906USD———
Other Cashflows From Financing Activities84,297USD1,266,631USD——————
Unclassified Operating Cash Flow10,200,154USD-3,149,806USD—8,981,549USD-3,091,027USD-3,879,141USD-3,651,655USD—
Unclassified Financing Cash Flow2,868,484USD———————
Investments—641,686USD-1,250,000USD-664,278USD-884,906USD0USD0USD—
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

PeriodDimensionBusiness / regionRevenueCurrencySource
FY 2022Yearly · 2022-12-31ProductGaming4,851,911USD0001493152-23-021506
FY 2022Yearly · 2022-12-31ProductOther1,927,146USD0001493152-23-021506
FY 2021Yearly · 2021-12-31ProductGaming8,506,176USD0001493152-23-021506
FY 2021Yearly · 2021-12-31ProductOther7,903,746USD0001493152-23-021506

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.