Dave & Buster's Entertainment Key Executives

This section highlights Dave & Buster's Entertainment's key executives, including their titles and compensation details.

Unlock Executive Information

Upgrade to access executive details

Upgrade Now

Find Contacts at Dave & Buster's Entertainment

(Showing 0 of )

Unlock Team Information

Upgrade to access team member details

Upgrade Now

Dave & Buster's Entertainment Earnings

This section highlights Dave & Buster's Entertainment's earnings, including key dates, EPS, earnings reports, and earnings call transcripts.

Next Earnings Date

Date: April 07, 2025
Time: Before Market
Est. EPS: $0.66
Status: Unconfirmed

Last Earnings Results

Date: December 10, 2024
EPS: $-0.45
Est. EPS: $-0.31
Revenue: $453.00M

Earnings Call Transcripts

Transcript Quarter Year Date Estimated EPS Actual EPS
Read Transcript Q3 2024 2024-12-10 $-0.31 $-0.45
Read Transcript Q2 2024 2024-09-10 $0.84 $0.99
Read Transcript Q1 2024 2024-06-12 $1.70 $0.99
Read Transcript Q4 2023 2024-04-02 $1.10 $0.88
Read Transcript Q3 2023 2023-12-05 $-0.22 $0.01
Read Transcript Q2 2023 2023-09-06 $0.94 $0.94
Read Transcript Q1 2023 2023-06-06 $1.24 $1.45

Dave & Buster's Entertainment, Inc. (PLAY)

Dave & Buster's Entertainment, Inc. owns and operates entertainment and dining venues for adults and families in North America. Its venues offer a menu of entrées and appetizers, as well as a selection of non-alcoholic and alcoholic beverages; and an assortment of entertainment attractions centered on playing games and watching live sports, and other televised events. The company operates its venues under the Dave & Buster's name. As of January 30, 2022, it owned and operated 144 stores located in 40 states, Puerto Rico, and one Canadian Province. The company was founded in 1982 and is headquartered in Coppell, Texas.

Communication Services Entertainment

$18.87

Stock Price

$726.55M

Market Cap

23.26K

Employees

Dallas, TX

Location

Financial Statements

Access annual & quarterly financial statements for Dave & Buster's Entertainment, including income statements, balance sheets, and cash flow statements..

Annual Income Statement

Breakdown February 04, 2024 January 29, 2023 January 30, 2022 January 31, 2021 February 02, 2020
Revenue $2.21B $1.96B $1.30B $436.51M $1.35B
Cost of Revenue $1.48B $308.86M $204.97M $74.91M $233.31M
Gross Profit $723.90M $1.66B $1.10B $361.61M $1.12B
Gross Profit Ratio 32.83% 84.28% 84.30% 82.84% 82.78%
Research and Development Expenses $- $- $- $- $-
General and Administrative Expenses $122.60M $608.57M $362.76M $164.69M $392.44M
Selling and Marketing Expenses $67.80M $57.60M $32.20M $- $-
Selling General and Administrative Expenses $197.70M $608.57M $362.76M $164.69M $392.44M
Other Expenses $219.60M $784.49M $549.14M $449.53M $580.86M
Operating Expenses $417.30M $1.39B $911.90M $614.22M $973.30M
Cost and Expenses $1.90B $1.70B $1.12B $689.12M $1.21B
Interest Income $4.70M $628.00K $53.91M $22.00K $119.00K
Interest Expense $132.10M $87.36M $53.91M $36.89M $20.94M
Depreciation and Amortization $208.50M $169.30M $138.33M $138.79M $132.46M
EBITDA $503.70M $426.87M $312.35M $-116.89M $280.54M
EBITDA Ratio 22.84% 21.98% 24.96% -26.28% 20.71%
Operating Income $306.60M $262.51M $187.18M $-252.61M $148.08M
Operating Income Ratio 13.90% 13.36% 14.35% -57.87% 10.93%
Total Other Income Expenses Net $-143.50M $-88.84M $-59.53M $-37.79M $-20.94M
Income Before Tax $163.10M $173.67M $127.65M $-290.41M $127.14M
Income Before Tax Ratio 7.40% 8.84% 9.79% -66.53% 9.39%
Income Tax Expense $36.20M $36.53M $19.01M $-83.43M $26.88M
Net Income $126.90M $137.10M $108.70M $-206.97M $100.26M
Net Income Ratio 5.75% 6.98% 8.34% -47.42% 7.40%
EPS $2.94 $2.83 $2.26 $-4.75 $3.00
EPS Diluted $2.88 $2.79 $2.21 $-4.75 $2.94
Weighted Average Shares Outstanding 43.20M 48.50M 48.14M 43.55M 33.45M
Weighted Average Shares Outstanding Diluted 44.07M 49.18M 49.26M 43.55M 34.10M
SEC Filing Source Source Source Source Source


Breakdown November 05, 2024 August 06, 2024 May 05, 2024 February 04, 2024 October 29, 2023 July 30, 2023 April 30, 2023 January 29, 2023 October 30, 2022 July 31, 2022 May 01, 2022 January 30, 2022 October 31, 2021 August 01, 2021 May 02, 2021 January 31, 2021 November 01, 2020 August 02, 2020 May 03, 2020 February 02, 2020
Revenue $453.00M $557.10M $588.10M $599.10M $466.90M $542.10M $597.30M $563.76M $481.21M $468.36M $451.10M $343.10M $317.98M $377.64M $265.34M $116.82M $109.05M $50.83M $159.81M $347.16M
Cost of Revenue $67.80M $438.10M $291.70M $473.20M $72.80M $83.60M $90.30M $87.05M $76.25M $75.54M $320.39M $54.88M $52.61M $57.71M $39.77M $20.24M $17.91M $8.68M $28.07M $59.78M
Gross Profit $385.20M $119.00M $296.40M $125.90M $394.10M $458.50M $507.00M $476.71M $404.95M $392.82M $130.71M $288.23M $265.36M $319.93M $225.57M $96.58M $91.14M $42.15M $131.73M $287.38M
Gross Profit Ratio 85.03% 21.40% 50.40% 21.00% 84.40% 84.60% 84.90% 84.60% 84.20% 83.90% 29.00% 84.00% 83.50% 84.70% 85.00% 82.67% 83.58% 82.92% 82.43% 82.78%
Research and Development Expenses $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
General and Administrative Expenses $148.10M $22.70M $173.10M $179.10M $148.30M $159.20M $162.00M $176.83M $158.70M $151.38M $121.66M $95.20M $101.10M $99.09M $67.37M $43.91M $39.45M $23.03M $58.30M $103.43M
Selling and Marketing Expenses $- $4.10M $176.10M $-1.50M $- $- $- $- $- $- $3.00M $- $- $- $- $- $- $- $- $-
Selling General and Administrative Expenses $148.10M $26.80M $207.60M $29.10M $148.30M $159.20M $162.00M $176.83M $158.70M $151.38M $28.30M $95.20M $101.10M $99.09M $67.37M $43.91M $39.45M $23.03M $58.30M $103.43M
Other Expenses $230.80M $- $- $-223.60M $- $- $223.60M $222.66M $216.15M $184.97M $- $146.47M $139.79M $141.67M $121.20M $106.72M $107.74M $100.23M $134.85M $146.33M
Operating Expenses $378.90M $30.40M $207.60M $29.10M $375.50M $381.40M $385.60M $399.49M $374.84M $336.35M $28.30M $241.68M $240.89M $240.76M $188.57M $150.62M $147.19M $123.26M $193.15M $249.76M
Cost and Expenses $446.70M $472.60M $499.30M $502.30M $448.30M $465.00M $475.90M $486.55M $451.10M $411.89M $348.69M $296.55M $293.51M $298.47M $228.34M $170.86M $165.09M $131.95M $221.22M $309.54M
Interest Income $- $200.00K $100.00K $- $28.90M $32.90M $30.70M $1.00K $28.40M $- $11.40M $- $- $- $- $- $- $- $22.00K $44.00K
Interest Expense $32.90M $34.10M $30.40M $27.80M $28.90M $32.90M $30.70M $30.48M $28.37M $17.10M $11.39M $11.94M $12.35M $12.62M $13.72M $14.40M $7.79M $8.16M $5.89M $6.17M
Depreciation and Amortization $53.90M $57.50M $62.80M $58.60M $51.90M $49.10M $48.90M $48.97M $48.43M $38.61M $33.29M $33.97M $34.38M $34.88M $35.10M $33.89M $34.38M $35.16M $35.35M $35.23M
EBITDA $45.00M $142.00M $150.70M $145.90M $70.50M $131.50M $170.30M $118.35M $78.53M $93.61M $132.00M $80.52M $56.02M $114.04M $72.09M $-22.04M $-22.56M $-44.07M $-26.83M $72.85M
EBITDA Ratio 9.93% 25.49% 25.78% 25.94% 15.10% 21.21% 28.51% 20.99% 16.32% 19.99% 30.08% 23.47% 18.17% 29.91% 26.76% -17.25% -21.08% -91.21% -16.45% 20.98%
Operating Income $6.30M $84.50M $88.80M $96.80M $18.60M $77.10M $121.40M $77.22M $30.11M $56.47M $102.41M $46.55M $24.47M $79.17M $37.00M $-54.04M $-56.04M $-81.11M $-61.41M $37.62M
Operating Income Ratio 1.39% 15.17% 15.10% 16.16% 3.98% 14.22% 20.32% 13.70% 6.26% 12.06% 22.70% 13.57% 7.70% 20.96% 13.94% -46.26% -51.39% -159.57% -38.43% 10.84%
Total Other Income Expenses Net $-48.10M $-33.90M $-33.10M $-39.80M $-28.90M $-44.10M $-30.70M $-30.48M $-28.37M $-18.60M $-11.38M $-14.73M $-16.25M $-13.73M $-14.82M $-14.40M $-9.12M $-8.16M $-6.12M $-6.17M
Income Before Tax $-41.80M $50.60M $52.40M $49.80M $-10.30M $33.00M $90.70M $46.74M $1.73M $37.88M $87.32M $31.82M $8.22M $65.44M $22.18M $-68.44M $-65.16M $-89.28M $-67.53M $31.45M
Income Before Tax Ratio -9.23% 9.08% 8.91% 8.31% -2.21% 6.09% 15.18% 8.29% 0.36% 8.09% 19.36% 9.27% 2.58% 17.33% 8.36% -58.59% -59.75% -175.63% -42.26% 9.06%
Income Tax Expense $-9.10M $10.30M $11.00M $13.60M $-5.10M $7.10M $20.60M $7.59M $-184.00K $8.79M $20.34M $6.17M $-2.37M $12.67M $2.54M $-11.65M $-17.12M $-30.68M $-23.98M $6.47M
Net Income $-32.70M $40.30M $41.40M $36.10M $-5.20M $25.90M $70.10M $39.15M $1.90M $29.09M $66.98M $25.65M $10.59M $52.77M $19.64M $-56.78M $-48.04M $-58.60M $-43.54M $24.98M
Net Income Ratio -7.22% 7.23% 7.04% 6.03% -1.11% 4.78% 11.74% 6.94% 0.39% 6.21% 14.85% 7.48% 3.33% 13.97% 7.40% -48.61% -44.06% -115.28% -27.25% 7.20%
EPS $-0.84 $1.02 $1.03 $0.90 $-0.12 $0.60 $1.46 $0.81 $0.04 $0.60 $1.38 $0.53 $0.22 $1.10 $0.41 $-1.19 $-1.01 $-1.24 $-1.37 $0.82
EPS Diluted $-0.84 $0.99 $0.99 $0.88 $-0.12 $0.60 $1.45 $0.80 $0.04 $0.59 $1.35 $0.52 $0.21 $1.07 $0.40 $-1.19 $-1.01 $-1.24 $-1.37 $0.80
Weighted Average Shares Outstanding 39.11M 39.67M 40.32M 40.23M 41.81M 43.01M 47.93M 48.33M 48.26M 48.83M 48.58M 48.42M 48.28M 48.18M 47.70M 47.64M 47.57M 47.11M 31.78M 30.58M
Weighted Average Shares Outstanding Diluted 39.11M 40.78M 41.64M 41.18M 41.81M 43.38M 48.47M 49.01M 48.74M 49.27M 49.45M 49.27M 49.28M 49.23M 49.33M 47.64M 47.61M 47.11M 31.83M 31.16M
SEC Filing Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source Source

Annual Balance Sheet

Breakdown February 04, 2024 January 29, 2023 January 30, 2022 January 31, 2021 February 02, 2020
Cash and Cash Equivalents $37.30M $181.59M $25.91M $11.89M $24.66M
Short Term Investments $- $- $- $- $-
Cash and Short Term Investments $37.30M $181.59M $25.91M $11.89M $24.66M
Net Receivables $44.80M $25.53M $64.92M $70.06M $-
Inventory $37.20M $45.42M $40.32M $23.81M $34.48M
Other Current Assets $18.20M $41.17M $14.42M $13.11M $19.84M
Total Current Assets $137.50M $293.71M $145.57M $118.87M $78.98M
Property Plant Equipment Net $2.66B $2.51B $1.82B $1.85B $1.91B
Goodwill $742.50M $744.48M $272.60M $272.60M $272.64M
Intangible Assets $178.20M $178.20M $79.00M $79.00M $79.00M
Goodwill and Intangible Assets $920.70M $953.46M $384.43M $381.36M $378.96M
Long Term Investments $- $- $- $-29.76M $-27.32M
Tax Assets $6.00M $526.00K $9.96M $5.87M $7.64M
Other Non-Current Assets $34.20M $-526.00K $-9.96M $23.89M $19.68M
Total Non-Current Assets $3.62B $3.47B $2.20B $2.23B $2.29B
Other Assets $- $- $- $- $-
Total Assets $3.75B $3.76B $2.35B $2.35B $2.37B
Account Payables $118.60M $84.70M $62.49M $36.40M $65.36M
Short Term Debt $72.40M $72.60M $49.27M $54.82M $64.13M
Tax Payables $2.00M $24.95M $11.44M $9.98M $14.28M
Deferred Revenue $- $139.44M $108.29M $91.14M $90.69M
Other Current Liabilities $242.60M $255.79M $83.49M $80.67M $60.73M
Total Current Liabilities $435.60M $438.04M $311.51M $271.64M $290.87M
Long Term Debt $2.93B $2.79B $1.71B $1.86B $1.85B
Deferred Revenue Non-Current $-83.70M $- $- $-13.66M $-19.10M
Deferred Tax Liabilities Non-Current $89.80M $66.25M $12.01M $13.66M $19.10M
Other Non-Current Liabilities $51.60M $55.67M $37.87M $50.12M $35.78M
Total Non-Current Liabilities $3.07B $2.91B $1.76B $1.93B $1.91B
Other Liabilities $- $- $- $- $-
Total Liabilities $3.50B $3.35B $2.07B $2.20B $2.20B
Preferred Stock $- $- $- $- $-
Common Stock $600.00K $624.00K $616.00K $605.00K $434.00K
Retained Earnings $599.20M $472.27M $335.13M $226.49M $433.46M
Accumulated Other Comprehensive Income Loss $-900.00K $-860.00K $-3.63M $-9.09M $-8.37M
Other Total Stockholders Equity $-347.70M $-61.49M $-56.66M $-64.78M $-255.88M
Total Stockholders Equity $251.20M $410.54M $275.46M $153.23M $169.65M
Total Equity $251.20M $410.54M $275.46M $153.23M $169.65M
Total Liabilities and Stockholders Equity $3.75B $3.76B $2.35B $2.35B $2.37B
Minority Interest $- $- $- $- $-
Total Liabilities and Total Equity $3.75B $3.76B $2.35B $2.35B $2.37B
Total Investments $- $- $- $-29.76M $-27.32M
Total Debt $3.00B $2.86B $1.75B $1.86B $1.85B
Net Debt $2.96B $2.68B $1.73B $1.85B $1.83B


Balance Sheet Charts

Breakdown November 05, 2024 August 06, 2024 May 05, 2024 February 04, 2024 October 29, 2023 July 30, 2023 April 30, 2023 January 29, 2023 October 30, 2022 July 31, 2022 May 01, 2022 January 30, 2022 October 31, 2021 August 01, 2021 May 02, 2021 January 31, 2021 November 01, 2020 August 02, 2020 May 03, 2020 February 02, 2020
Cash and Cash Equivalents $8.60M $13.10M $32.10M $37.30M $64.00M $82.60M $91.50M $181.60M $108.21M $100.39M $139.08M $25.91M $27.00M $107.80M $20.15M $11.89M $8.34M $224.31M $156.83M $24.66M
Short Term Investments $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Cash and Short Term Investments $8.60M $13.10M $32.10M $37.30M $64.00M $82.60M $91.50M $181.60M $108.21M $100.39M $139.08M $25.91M $27.00M $107.80M $20.15M $11.89M $8.34M $224.31M $156.83M $24.66M
Net Receivables $21.80M $20.80M $33.80M $44.80M $26.30M $56.60M $41.00M $47.20M $45.85M $34.68M $- $64.92M $- $51.64M $- $70.06M $44.57M $- $23.24M $-
Inventory $38.40M $37.20M $37.80M $37.20M $43.30M $43.70M $47.90M $45.40M $45.43M $46.98M $41.60M $40.32M $37.26M $23.81M $22.81M $23.81M $26.73M $31.19M $34.73M $34.48M
Other Current Assets $43.20M $25.00M $34.10M $18.20M $23.40M $25.10M $27.20M $19.50M $34.11M $32.46M $36.46M $14.42M $82.12M $12.70M $68.48M $13.11M $12.74M $37.49M $14.99M $19.84M
Total Current Assets $112.00M $96.10M $137.80M $137.50M $157.00M $208.00M $207.60M $293.70M $233.60M $214.51M $217.14M $145.57M $146.38M $195.96M $111.44M $118.87M $92.39M $292.98M $229.79M $78.98M
Property Plant Equipment Net $2.86B $2.77B $2.69B $2.66B $2.59B $2.57B $2.54B $2.51B $2.45B $2.48B $1.84B $1.82B $1.82B $1.80B $1.82B $1.85B $1.90B $1.93B $1.95B $1.91B
Goodwill $742.50M $742.50M $742.50M $742.50M $742.50M $742.50M $742.10M $744.50M $787.05M $728.66M $272.60M $272.60M $272.56M $272.57M $272.55M $272.60M $272.64M $272.65M $272.70M $272.64M
Intangible Assets $178.20M $178.20M $178.20M $178.20M $178.20M $178.20M $178.20M $178.20M $178.20M $190.10M $79.00M $79.00M $79.00M $79.00M $79.00M $79.00M $79.00M $79.00M $79.00M $79.00M
Goodwill and Intangible Assets $920.70M $920.70M $920.70M $920.70M $920.70M $947.00M $948.90M $922.70M $965.25M $956.13M $351.60M $384.43M $351.56M $351.57M $351.55M $381.36M $351.64M $351.65M $351.70M $378.96M
Long Term Investments $- $- $-926.80M $-40.20M $- $-109.80M $- $- $- $- $- $-32.83M $- $- $- $-29.76M $- $- $- $-27.32M
Tax Assets $7.30M $7.20M $6.10M $6.00M $5.50M $83.50M $400.00K $500.00K $1.35M $8.21M $9.20M $9.96M $9.47M $7.31M $7.45M $5.87M $20.45M $21.49M $11.14M $7.64M
Other Non-Current Assets $37.60M $36.00M $961.80M $74.40M $23.90M $26.30M $-400.00K $30.30M $30.13M $-8.21M $22.07M $22.87M $25.52M $25.88M $25.92M $23.89M $23.64M $19.57M $19.55M $19.68M
Total Non-Current Assets $3.83B $3.74B $3.65B $3.62B $3.54B $3.52B $3.49B $3.47B $3.45B $3.44B $2.23B $2.20B $2.20B $2.19B $2.21B $2.23B $2.29B $2.33B $2.33B $2.29B
Other Assets $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Assets $3.94B $3.83B $3.79B $3.75B $3.70B $3.73B $3.69B $3.76B $3.69B $3.65B $2.44B $2.35B $2.35B $2.38B $2.32B $2.35B $2.39B $2.62B $2.56B $2.37B
Account Payables $90.30M $84.10M $109.40M $118.60M $69.60M $69.60M $64.00M $84.70M $57.22M $67.44M $54.53M $62.49M $39.30M $34.23M $39.42M $36.40M $42.85M $59.54M $79.08M $65.36M
Short Term Debt $7.00M $73.70M $69.20M $72.40M $79.60M $78.10M $70.80M $72.60M $68.18M $71.51M $53.95M $49.27M $58.12M $58.00M $60.40M $54.82M $60.04M $75.85M $82.65M $64.13M
Tax Payables $500.00K $30.20M $24.00M $2.00M $25.30M $25.60M $25.80M $25.60M $27.51M $24.87M $3.63M $11.44M $15.06M $18.95M $13.34M $9.98M $11.86M $11.53M $10.12M $14.28M
Deferred Revenue $- $300.00K $158.70M $141.50M $150.90M $142.70M $146.70M $139.50M $137.95M $131.50M $110.72M $108.29M $106.60M $108.39M $100.73M $91.14M $91.13M $90.83M $92.32M $90.69M
Other Current Liabilities $293.20M $220.20M $77.70M $101.10M $109.80M $116.30M $248.90M $115.60M $129.52M $120.44M $90.25M $83.49M $75.73M $92.06M $67.91M $80.67M $83.14M $77.90M $55.63M $60.73M
Total Current Liabilities $391.00M $408.20M $424.10M $435.60M $419.30M $422.50M $409.50M $438.00M $406.24M $407.58M $313.08M $311.51M $290.68M $308.93M $279.22M $271.64M $287.43M $313.81M $316.69M $290.87M
Long Term Debt $1.59B $2.88B $2.92B $2.93B $2.87B $2.87B $2.80B $2.79B $2.81B $2.82B $1.73B $1.71B $1.76B $1.79B $1.80B $1.86B $1.84B $2.02B $1.99B $1.85B
Deferred Revenue Non-Current $- $- $1.46B $1.64B $- $-83.50M $- $- $- $- $1.29B $-12.01M $- $- $- $-13.66M $- $- $- $-19.10M
Deferred Tax Liabilities Non-Current $83.60M $85.70M $90.90M $89.80M $73.70M $83.50M $78.30M $66.30M $57.50M $13.31M $15.45M $12.01M $12.61M $11.40M $10.91M $13.66M $13.36M $- $19.85M $19.10M
Other Non-Current Liabilities $1.65B $173.70M $53.00M $51.60M $128.10M $43.50M $42.50M $55.70M $54.22M $54.37M $36.38M $37.87M $45.27M $48.44M $53.93M $50.12M $37.90M $38.60M $39.23M $35.78M
Total Non-Current Liabilities $3.32B $3.14B $3.07B $3.07B $3.07B $2.99B $2.92B $2.91B $2.92B $2.89B $1.78B $1.76B $1.81B $1.85B $1.86B $1.93B $1.89B $2.06B $2.05B $1.91B
Other Liabilities $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities $3.71B $3.55B $3.49B $3.50B $3.49B $3.42B $3.33B $3.35B $3.32B $3.29B $2.09B $2.07B $2.10B $2.15B $2.14B $2.20B $2.18B $2.37B $2.37B $2.20B
Preferred Stock $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Common Stock $600.00K $600.00K $600.00K $600.00K $600.00K $600.00K $600.00K $600.00K $623.00K $622.00K $618.00K $616.00K $614.00K $613.00K $607.00K $605.00K $605.00K $604.00K $496.00K $434.00K
Retained Earnings $648.20M $680.90M $640.60M $599.20M $563.10M $568.30M $542.40M $472.30M $433.12M $431.20M $402.12M $335.13M $309.48M $298.90M $246.13M $226.49M $283.28M $331.32M $389.92M $433.46M
Accumulated Other Comprehensive Income Loss $-1.00M $-1.00M $-1.00M $-900.00K $-1.10M $-800.00K $-900.00K $-900.00K $-1.02M $-908.00K $-2.30M $-3.63M $-4.96M $-6.30M $-7.65M $-9.09M $-10.67M $-12.08M $-13.75M $-8.37M
Other Total Stockholders Equity $-421.20M $-396.10M $-347.70M $-347.70M $-351.00M $-253.70M $-182.20M $-61.50M $-71.70M $-74.54M $-48.69M $-56.66M $-58.58M $-63.34M $-60.44M $-64.78M $-66.43M $-69.47M $-184.03M $-255.88M
Total Stockholders Equity $226.60M $284.40M $292.50M $251.20M $211.60M $314.40M $359.90M $410.50M $361.02M $356.38M $351.74M $275.46M $246.56M $229.88M $178.64M $153.23M $206.77M $250.37M $192.63M $169.65M
Total Equity $226.60M $284.40M $292.50M $251.20M $211.60M $314.40M $359.90M $410.50M $361.02M $356.38M $351.74M $275.46M $246.56M $229.88M $178.64M $153.23M $206.77M $250.37M $192.63M $169.65M
Total Liabilities and Stockholders Equity $3.94B $3.83B $3.79B $3.75B $3.70B $3.73B $3.69B $3.76B $3.69B $3.65B $2.44B $2.35B $2.35B $2.38B $2.32B $2.35B $2.39B $2.62B $2.56B $2.37B
Minority Interest $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Total Liabilities and Total Equity $3.94B $3.83B $3.79B $3.75B $3.70B $3.73B $3.69B $3.76B $3.69B $3.65B $2.44B $2.35B $2.35B $2.38B $2.32B $2.35B $2.39B $2.62B $2.56B $2.37B
Total Investments $- $- $-926.80M $-40.20M $- $-109.80M $- $- $- $- $- $-32.83M $- $- $- $-29.76M $- $- $- $-27.32M
Total Debt $1.60B $2.96B $2.84B $3.00B $2.94B $2.87B $2.80B $2.86B $2.87B $2.89B $1.78B $1.71B $1.81B $1.84B $1.85B $1.86B $1.89B $2.08B $2.07B $1.85B
Net Debt $1.59B $2.94B $2.81B $2.96B $2.88B $2.78B $2.71B $2.68B $2.77B $2.79B $1.64B $1.68B $1.78B $1.73B $1.83B $1.85B $1.88B $1.86B $1.91B $1.83B

Annual Cash Flow

Breakdown February 04, 2024 January 29, 2023 January 30, 2022 January 31, 2021 February 02, 2020
Net Income $126.90M $137.13M $108.64M $-206.97M $100.26M
Depreciation and Amortization $208.50M $169.30M $138.33M $138.79M $132.46M
Deferred Income Tax $17.20M $27.63M $-7.79M $-3.37M $6.47M
Stock Based Compensation $16.00M $20.00M $12.50M $6.99M $6.86M
Change in Working Capital $-40.50M $73.16M $11.81M $-6.39M $40.01M
Accounts Receivables $2.50M $39.40M $5.14M $-8.58M $41.86M
Inventory $8.10M $-176.00K $-16.51M $10.67M $-7.16M
Accounts Payables $-1.30M $1.20M $14.29M $-9.58M $2.03M
Other Working Capital $-49.80M $32.74M $8.90M $1.09M $3.29M
Other Non Cash Items $36.10M $17.25M $19.67M $21.74M $2.88M
Net Cash Provided by Operating Activities $364.20M $444.47M $283.13M $-49.22M $288.95M
Investments in Property Plant and Equipment $-330.20M $-234.22M $-92.20M $-83.02M $-228.09M
Acquisitions Net $- $-818.67M $729.00K $461.00K $800.00K
Purchases of Investments $- $- $- $- $-
Sales Maturities of Investments $- $- $- $- $-
Other Investing Activities $1.10M $1.30M $700.00K $595.00K $800.00K
Net Cash Used for Investing Activities $-329.10M $-1.05B $-91.47M $-81.96M $-227.29M
Debt Repayment $131.40M $805.40M $-170.00M $-38.25M $254.00M
Common Stock Issued $- $- $- $182.21M $-
Common Stock Repurchased $-303.10M $-33.50M $-9.50M $-929.00K $-297.91M
Dividends Paid $- $- $- $-4.89M $-15.72M
Other Financing Activities $-7.70M $-9.09M $1.86M $-19.72M $1.05M
Net Cash Used Provided by Financing Activities $-179.40M $762.81M $-177.64M $118.42M $-58.59M
Effect of Forex Changes on Cash $- $- $- $- $-
Net Change in Cash $-144.30M $155.68M $14.02M $-12.76M $3.07M
Cash at End of Period $37.30M $181.59M $25.91M $11.89M $24.66M
Cash at Beginning of Period $181.60M $25.91M $11.89M $24.66M $21.59M
Operating Cash Flow $364.20M $444.47M $283.13M $-49.22M $288.95M
Capital Expenditure $-330.20M $-234.22M $-92.20M $-83.02M $-228.09M
Free Cash Flow $34.00M $210.24M $190.93M $-132.24M $60.85M

Cash Flow Charts

Breakdown November 05, 2024 August 06, 2024 May 05, 2024 February 04, 2024 October 29, 2023 July 30, 2023 April 30, 2023 January 29, 2023 October 30, 2022 July 31, 2022 May 01, 2022 January 30, 2022 October 31, 2021 August 01, 2021 May 02, 2021 January 31, 2021 November 01, 2020 August 02, 2020 May 03, 2020 February 02, 2020
Net Income $-32.70M $40.30M $41.40M $36.20M $-5.20M $25.90M $70.10M $39.15M $1.92M $29.09M $66.98M $25.65M $10.59M $52.77M $19.64M $-56.78M $-48.04M $-58.60M $-43.54M $24.98M
Depreciation and Amortization $53.90M $57.50M $62.80M $58.60M $51.90M $49.10M $48.90M $48.97M $48.43M $38.61M $33.29M $33.97M $34.38M $34.88M $35.10M $33.89M $34.38M $35.16M $35.35M $35.23M
Deferred Income Tax $-9.20M $-6.30M $1.00M $15.60M $-14.70M $4.20M $12.10M $-1.65M $10.39M $15.21M $3.68M $-1.60M $-1.47M $117.00K $-4.84M $14.37M $13.88M $-30.72M $-892.00K $1.16M
Stock Based Compensation $2.80M $2.30M $4.00M $600.00K $3.50M $5.20M $6.70M $8.51M $3.20M $4.70M $3.56M $2.54M $3.78M $3.19M $2.97M $1.64M $3.00M $2.73M $-389.00K $1.38M
Change in Working Capital $- $1.60M $-6.20M $-21.60M $30.20M $-200.00K $-48.90M $45.27M $376.00K $-10.48M $37.99M $16.78M $-53.08M $26.77M $21.35M $-11.77M $-25.50M $16.45M $14.43M $7.73M
Accounts Receivables $- $13.00M $1.30M $-18.50M $3.20M $-13.30M $4.00M $20.33M $-3.70M $-17.98M $48.22M $2.73M $-16.01M $3.58M $14.84M $-13.78M $-12.82M $26.03M $-8.01M $9.83M
Inventory $- $600.00K $-600.00K $6.00M $400.00K $4.20M $-2.50M $11.00K $1.54M $-450.00K $-1.28M $-3.06M $-13.45M $-999.00K $995.00K $2.92M $4.46M $3.54M $-249.00K $-1.86M
Accounts Payables $-12.10M $-21.70M $1.80M $21.70M $500.00K $1.00M $-24.50M $31.69M $-10.15M $-9.45M $-10.88M $17.70M $1.50M $-6.09M $1.17M $2.37M $-18.59M $-14.79M $21.44M $-3.40M
Other Working Capital $-19.60M $9.70M $-18.40M $-30.80M $26.10M $7.90M $-25.90M $-6.76M $12.68M $17.41M $1.93M $2.14M $-41.13M $33.86M $19.18M $-3.28M $1.45M $1.68M $1.25M $3.15M
Other Non Cash Items $-22.00M $6.40M $130.20M $7.80M $5.10M $19.60M $3.50M $3.26M $3.57M $7.33M $37.17M $7.30M $6.21M $3.18M $2.98M $1.18M $4.03M $4.66M $11.86M $671.00K
Net Cash Provided by Operating Activities $-7.20M $101.80M $108.80M $97.20M $70.80M $103.80M $92.40M $143.50M $67.91M $84.46M $148.59M $84.63M $410.00K $120.89M $77.20M $-17.47M $-18.25M $-30.32M $16.82M $71.16M
Investments in Property Plant and Equipment $-131.20M $-116.10M $-113.00M $-122.60M $-73.80M $-82.60M $-51.20M $-70.20M $-64.13M $-59.85M $-40.04M $-28.64M $-25.64M $-27.56M $-10.36M $-10.41M $-9.12M $-8.32M $-55.17M $-55.20M
Acquisitions Net $- $- $200.00K $700.00K $- $- $400.00K $12.00K $4.07M $-822.52M $200.00K $179.00K $104.00K $392.00K $54.00K $- $- $- $- $-
Purchases of Investments $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Sales Maturities of Investments $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Other Investing Activities $- $200.00K $200.00K $700.00K $- $- $400.00K $495.00K $368.00K $-1 $200.00K $179.00K $104.00K $392.00K $54.00K $822.00K $82.00K $134.00K $18.00K $185.00K
Net Cash Used for Investing Activities $-131.20M $-115.90M $-112.80M $-121.90M $-73.80M $-82.60M $-50.80M $-69.70M $-59.69M $-882.37M $-39.84M $-28.46M $-25.54M $-27.16M $-10.30M $-9.59M $-9.04M $-8.18M $-55.15M $-55.02M
Debt Repayment $179.00M $45.20M $2.80M $4.10M $- $47.40M $-4.30M $-2.12M $- $807.50M $- $-55.00M $-55.00M $- $-60.00M $34.00M $-171.75M $-3.75M $103.25M $-7.75M
Common Stock Issued $- $- $- $- $- $- $- $- $344.00K $- $- $- $- $- $- $- $- $110.06M $72.14M $1.05M
Common Stock Repurchased $-28.00M $-50.20M $-11.50M $-600.00K $-100.00M $-75.00M $-127.50M $-1.03M $-738.00K $-30.60M $-1.23M $-1.69M $-59.00K $-7.48M $-236.00K $-13.00K $-229.00K $-651.00K $-36.00K $595.00K
Dividends Paid $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $- $-272.00K $- $-4.89M $-4.89M
Other Financing Activities $-17.10M $100.00K $7.50M $-5.50M $84.40M $-2.50M $100.00K $2.73M $306.00K $-17.70M $5.61M $-576.00K $-607.00K $1.40M $1.61M $-3.35M $-810.00K $315.00K $44.00K $273.00K
Net Cash Used Provided by Financing Activities $133.90M $-4.90M $-1.20M $-2.00M $-15.60M $-30.10M $-131.70M $-426.00K $-394.00K $759.21M $4.41M $-57.27M $-55.67M $-6.08M $-58.63M $30.61M $-188.68M $105.98M $170.51M $-12.36M
Effect of Forex Changes on Cash $- $- $- $-22.80M $- $22.80M $- $- $- $- $- $- $- $- $- $- $- $- $- $-
Net Change in Cash $-4.50M $-19.00M $-5.20M $-26.70M $-18.60M $-8.90M $-90.10M $73.38M $7.83M $-38.70M $113.17M $-1.09M $-80.80M $87.65M $8.26M $3.55M $-215.96M $67.47M $132.18M $3.77M
Cash at End of Period $8.60M $13.10M $32.10M $37.30M $64.00M $82.60M $91.50M $181.59M $108.21M $100.39M $139.08M $25.91M $27.00M $107.80M $20.15M $11.89M $8.34M $224.31M $156.83M $24.66M
Cash at Beginning of Period $13.10M $32.10M $37.30M $64.00M $82.60M $91.50M $181.60M $108.21M $100.39M $139.08M $25.91M $27.00M $107.80M $20.15M $11.89M $8.34M $224.31M $156.83M $24.66M $20.88M
Operating Cash Flow $-7.20M $101.80M $108.80M $97.20M $70.80M $103.80M $92.40M $143.50M $67.91M $84.46M $148.59M $84.63M $410.00K $120.89M $77.20M $-17.47M $-18.25M $-30.32M $16.82M $71.16M
Capital Expenditure $-131.20M $-116.10M $-113.00M $-122.60M $-73.80M $-82.60M $-51.20M $-70.20M $-64.13M $-59.85M $-40.04M $-28.64M $-25.64M $-27.56M $-10.36M $-10.41M $-9.12M $-8.32M $-55.17M $-55.20M
Free Cash Flow $-138.40M $-14.30M $-4.20M $-25.40M $-3.00M $21.20M $41.20M $73.30M $3.78M $24.61M $108.56M $55.99M $-25.23M $93.34M $66.84M $-27.88M $-27.37M $-38.64M $-38.35M $15.95M

Dave & Buster's Entertainment Dividends

Explore Dave & Buster's Entertainment's dividend history, including dividend yield, payout ratio, and historical payments.

Dividend Yield

-

Dividend Payout Ratio

-

Dividend Paid & Capex Coverage Ratio

1.10x

Dave & Buster's Entertainment Dividend History

Dividend Adjusted Dividend Date Record Date Payment Date Declaration Date
$0.16 $0.16 January 09, 2020 January 10, 2020 February 10, 2020 December 19, 2019
$0.16 $0.16 October 10, 2019 October 11, 2019 November 11, 2019 September 19, 2019
$0.15 $0.15 June 24, 2019 June 25, 2019 July 10, 2019 June 13, 2019
$0.15 $0.15 March 25, 2019 March 26, 2019 April 10, 2019 March 11, 2019
$0.15 $0.15 December 24, 2018 December 26, 2018 January 10, 2019 December 14, 2018
$0.15 $0.15 September 24, 2018 September 25, 2018 October 10, 2018 September 11, 2018

Dave & Buster's Entertainment News

Read the latest news about Dave & Buster's Entertainment, including recent articles, headlines, and updates.

Dave & Buster's Entertainment, Inc. to Report Fourth Quarter and Fiscal Year End 2024 Financial Results on April 7, 2025

DALLAS, March 18, 2025 (GLOBE NEWSWIRE) -- Dave & Buster's Entertainment, Inc., (NASDAQ:PLAY), ("Dave & Buster's" or "the Company"), an owner and operator of entertainment and dining venues, today announced that it will report financial results for its fourth quarter and fiscal year ended February 4, 2025 after the market closes on Monday, April 7, 2025.

News image

Why Is Dave & Buster's (PLAY) Down 0.1% Since Last Earnings Report?

Dave & Buster's (PLAY) reported earnings 30 days ago. What's next for the stock?

News image

Dave & Buster's Stock Falls 43% in 2024: Time for a Comeback in 2025?

PLAY's focus on optimizing marketing efforts, enhancing food and beverage offerings and expanding its loyalty program provides a solid foundation for growth.

News image

Levi & Korsinsky Reminds Dave & Buster's Entertainment, Inc. Investors of the Ongoing Investigation into Potential Violations of Securities Laws - PLAY

NEW YORK, NY / ACCESSWIRE / December 23, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of Dave & Buster's Entertainment, Inc. ("Dave & Buster's Entertainment, Inc.") (NASDAQ:PLAY) concerning possible violations of federal securities laws. On December 10, 2024, Dave & Buster's reported that "Chris Morris, the Company's Chief Executive Officer ("CEO"), has tendered his resignation as CEO and Director to pursue other interests.

News image

PLAY STOCK ALERT: Levi & Korsinsky Notifies Dave & Buster's Entertainment, Inc. Investors of an Ongoing Investigation

NEW YORK, NY / ACCESSWIRE / December 20, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of Dave & Buster's Entertainment, Inc. ("Dave & Buster's Entertainment, Inc.") (NASDAQ:PLAY) concerning possible violations of federal securities laws. On December 10, 2024, Dave & Buster's reported that "Chris Morris, the Company's Chief Executive Officer ("CEO"), has tendered his resignation as CEO and Director to pursue other interests.

News image

Dave & Buster's Welcomes Back Chief Information Officer

DALLAS, Dec. 19, 2024 (GLOBE NEWSWIRE) -- Dave & Buster's Entertainment, Inc., (NASDAQ: PLAY), ("Dave & Buster's" or "the Company"), an owner and operator of entertainment and dining venues, today announced that it welcomes back Steve Klohn as Chief Information Officer, who will rejoin the Company after recent changes. Steve left the Company earlier this year after spending a combined 8 years with Main Event and Dave & Buster's.

News image

Levi & Korsinsky Announces an Investigation on Behalf of Dave & Buster's Entertainment, Inc. (PLAY) Shareholders Who May Have Been Affected by Fraud

NEW YORK, NY / ACCESSWIRE / December 19, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of Dave & Buster's Entertainment, Inc. ("Dave & Buster's Entertainment, Inc.") (NASDAQ:PLAY) concerning possible violations of federal securities laws. On December 10, 2024, Dave & Buster's reported that "Chris Morris, the Company's Chief Executive Officer ("CEO"), has tendered his resignation as CEO and Director to pursue other interests.

News image

Dave & Buster's Entertainment, Inc. (PLAY) Shareholders May Have Been Affected by Fraud- Levi & Korsinsky Investigates

NEW YORK, NY / ACCESSWIRE / December 18, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of Dave & Buster's Entertainment, Inc. ("Dave & Buster's Entertainment, Inc.") (NASDAQ:PLAY) concerning possible violations of federal securities laws. On December 10, 2024, Dave & Buster's reported that "Chris Morris, the Company's Chief Executive Officer ("CEO"), has tendered his resignation as CEO and Director to pursue other interests.

News image

The Law Offices of Frank R. Cruz Announces Investigation of Dave & Buster's Entertainment, Inc. (PLAY) on Behalf of Investors

LOS ANGELES--(BUSINESS WIRE)--The Law Offices of Frank R. Cruz announces an investigation of Dave & Buster's Entertainment, Inc. (“Dave & Buster's” or the “Company”) (NASDAQ: PLAY) on behalf of investors concerning the Company's possible violations of federal securities laws. If you are a shareholder who suffered a loss, click here to participate. On December 10, 2024, Dave & Buster's released its third quarter 2024 financial results, significantly missing consensus estimates. Addit.

News image

Dave & Buster's Entertainment, Inc. Announces Additional Share Repurchase Authorization of $100 Million

DALLAS, Dec. 17, 2024 (GLOBE NEWSWIRE) -- Dave & Buster's Entertainment, Inc., (NASDAQ:PLAY), ("Dave & Buster's" or "the Company"), an owner and operator of entertainment and dining venues, today announced an increase to the Company's share repurchase authorization.

News image

Dave & Buster's Entertainment, Inc. Investigated Regarding Potential Securities Law Violations - Contact Levi & Korsinsky for Details- PLAY

NEW YORK, NY / ACCESSWIRE / December 17, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of Dave & Buster's Entertainment, Inc. ("Dave & Buster's Entertainment, Inc.") (NASDAQ:PLAY) concerning possible violations of federal securities laws. On December 10, 2024, Dave & Buster's reported that "Chris Morris, the Company's Chief Executive Officer ("CEO"), has tendered his resignation as CEO and Director to pursue other interests.

News image

PLAY ACTIVE INVESTIGATION: Contact Levi & Korsinsky if you lost money on your Dave & Buster's Entertainment, Inc. investment

NEW YORK, NY / ACCESSWIRE / December 16, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of Dave & Buster's Entertainment, Inc. ("Dave & Buster's Entertainment, Inc.") (NASDAQ:PLAY) concerning possible violations of federal securities laws. On December 10, 2024, Dave & Buster's reported that "Chris Morris, the Company's Chief Executive Officer ("CEO"), has tendered his resignation as CEO and Director to pursue other interests.

News image

Tax Loss Selling Season: Four Oversold Stocks

Tax loss selling has created opportunities in overly discounted stocks like Dave & Buster's, Rexford Industrial Real Estate, Portillo's, and Caesar's Entertainment. Dave & Buster's shares have plummeted due to weak comps and increased leverage, but insider buying and potential EBITDA growth present a compelling valuation. Rexford Industrial Real Estate offers attractive returns due to high-quality assets and strong negotiating positions, despite recent rent declines.

News image

Dave & Buster's: Is It Time to Make Another Play on This Stock?

After years of struggling to gain traction, Dave & Buster's NASDAQ: PLAY has the opportunity to reinvigorate the business with a new CEO. Former CEO Chris Morris' surprise departure clouds the outlook and increases uncertainty about execution, but a good choice can put that to rest.

News image

Dave & Buster's: CEO Exit And Ongoing Challenges In A Tough Entertainment Market

Dave & Buster's is experiencing significant challenges, with CEO Chris Morris resigning after two consecutive years of weak performance, marked by declining comparable sales (down 7.7% in Q3 2024). The company is attempting to revitalize its business through multiple strategies, including a comprehensive remodeling program targeting 44 locations in FY 2024 and 60 in FY 2025. Financial performance has deteriorated, with Q3 2024 top-line sales dropping 3% year-over-year, gross margins declining to 20.4%, and net losses increasing sixfold to $32.7 million.

News image

Did Dave & Buster's Entertainment, Inc. Mislead Investors? Shareholder Rights Advocates at Levi & Korsinsky Investigate– PLAY

NEW YORK, NY / ACCESSWIRE / December 12, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of Dave & Buster's Entertainment, Inc. ("Dave & Buster's Entertainment, Inc.") (NASDAQ:PLAY) concerning possible violations of federal securities laws. On December 10, 2024, Dave & Buster's reported that "Chris Morris, the Company's Chief Executive Officer ("CEO"), has tendered his resignation as CEO and Director to pursue other interests.

News image

DAVE & BUSTER'S ALERT: Bragar Eagel & Squire, P.C. is Investigating Dave & Buster's Entertainment, Inc. on Behalf of Dave & Buster's Stockholders and Encourages Investors to Contact the Firm

NEW YORK, Dec. 12, 2024 (GLOBE NEWSWIRE) -- Bragar Eagel & Squire, P.C., a nationally recognized stockholder rights law firm, is investigating potential claims against Dave & Buster's Entertainment, Inc. (“Dave & Buster's” or the “Company”) (NASDAQ: PLAY) on behalf of Dave & Buster's stockholders. Our investigation concerns whether Dave & Buster's has violated the federal securities laws and/or engaged in other unlawful business practices.

News image

Dave & Buster's: Look Out Below

Dave & Buster's shares plummeted 20% due to weak Q3 results, CEO resignation, and lack of guidance, signaling potential further declines. The stock is at critical support levels, with poor momentum indicators suggesting no sustainable bottom. Fundamentals show declining revenue, negative comparable sales, and worsening margins, with no clear path to recovery.

News image

PLAY ALERT: Levi & Korsinsky Reminds Investors of an Investigation Involving Possible Securities Fraud Violations by Dave & Buster's Entertainment, Inc.

NEW YORK, NY / ACCESSWIRE / December 11, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of Dave & Buster's Entertainment, Inc. ("Dave & Buster's Entertainment, Inc.") (NASDAQ:PLAY) concerning possible violations of federal securities laws. On December 10, 2024, Dave & Buster's reported that "Chris Morris, the Company's Chief Executive Officer ("CEO"), has tendered his resignation as CEO and Director to pursue other interests.

News image

Dave & Buster's Entertainment Inc. Stock Drops on News Company CEO Tendered His Resignation - Investors of Dave & Buster's Stock Encouraged to Contact Kehoe Law Firm, P.C. - PLAY

PHILADELPHIA, PA / ACCESSWIRE / December 11, 2024 / Kehoe Law Firm, P.C. is investigating potential securities claims on behalf of investors of Dave & Buster's Entertainment Inc. ("Dave & Buster's") (NASDAQ:PLAY).

News image

PLAY BREAKING NEWS: BFA Law Announces an Investigation into Dave & Buster's Entertainment after CEO Resignation – Investors with Losses are Urged to Contact BFA Law

NEW YORK--(BUSINESS WIRE)---- $PLAY #Attorney--Leading securities law firm Bleichmar Fonti & Auld LLP announces an investigation into Dave & Buster's Entertainment, Inc. (NASDAQ: PLAY) for potential violations of the federal securities laws. If you invested in Dave & Buster's Entertainment, you are encouraged to obtain additional information by visiting https://www.bfalaw.com/cases-investigations/dave-busters-entertainment-inc. Why is Dave & Buster's Entertainment being Investigated? Dave & Bus.

News image

PLAY ALERT- Levi & Korsinsky Has Commenced an Investigation on Behalf of Dave & Buster's Entertainment, Inc. Shareholders Who Lost Money

NEW YORK, NY / ACCESSWIRE / December 11, 2024 / Levi & Korsinsky notifies investors that it has commenced an investigation of Dave & Buster's Entertainment, Inc. ("Dave & Buster's Entertainment, Inc.") (NASDAQ:PLAY) concerning possible violations of federal securities laws. On December 10, 2024, Dave & Buster's reported that "Chris Morris, the Company's Chief Executive Officer ("CEO"), has tendered his resignation as CEO and Director to pursue other interests.

News image

Dave & Buster's Shares Tank Following Earnings Report, Analysts Say CEO Exit Clouds Turnaround Prospects

Shares of Dave & Buster's Entertainment Inc PLAY fell over 14% at last check Wednesday, despite reporting downbeat third-quarter results.

News image

Macy's, Dave & Buster's, Bausch + Lomb And Other Big Stocks Moving Lower In Wednesday's Pre-Market Session

U.S. stock futures were mixed this morning, with the Nasdaq futures gaining around 50 points on Wednesday.

News image

Dave & Buster's struggles to capture spending, and CEO exit is a bombshell

Truist downgrades the stock to hold from buy, saying the CEO move muddles the company's turnaround story.

News image

Dave & Buster's Stock Slides on Larger Loss Than Expected, CEO Departure

Dave & Buster's (PLAY) stock started Wednesday morning lower after the company posted a larger loss than expected for the third quarter, and its CEO announced his resignation.

News image

Dave & Buster's Q3 Earnings & Revenues Miss Estimates, Stock Down

PLAY's fiscal third-quarter revenues suffer due to unfavorable weather conditions and disruptions from remodel construction at certain locations.

News image

Dave & Buster's Entertainment, Inc. (PLAY) Q3 2024 Earnings Call Transcript

Dave & Buster's Entertainment, Inc. (NASDAQ:PLAY ) Q3 2024 Earnings Conference Call December 10, 2024 5:00 PM ET Company Participants Cory Hatton - VP of IR and Treasurer Kevin Sheehan - Chair of the Board and Interim CEO Darin Harper - CFO Conference Call Participants Jake Bartlett - Truist Securities Andy Barish - Jefferies Sharon Zackfia - William Blair Andrew Strelzik - BMO Dennis Geiger - UBS Todd Brooks - The Benchmark Company Brian Vaccaro - Raymond James Operator Good afternoon, and welcome to the Dave & Buster's Third Quarter 2024 Earnings Conference Call. [Operator Instructions] Please note, this event is being recorded.

News image

Dave & Buster's (PLAY) Reports Q3 Earnings: What Key Metrics Have to Say

While the top- and bottom-line numbers for Dave & Buster's (PLAY) give a sense of how the business performed in the quarter ended October 2024, it could be worth looking at how some of its key metrics compare to Wall Street estimates and year-ago values.

News image

Dave & Buster's (PLAY) Reports Q3 Loss, Misses Revenue Estimates

Dave & Buster's (PLAY) came out with a quarterly loss of $0.45 per share versus the Zacks Consensus Estimate of a loss of $0.42. This compares to earnings of $0.01 per share a year ago.

News image

Similar Companies

A
AMC Networks Inc.

AMCX

Price: $6.84

Market Cap: $301.89M

A
AMC Entertainment Holdings, Inc.

APE

Price: $1.42

Market Cap: $2.26B

B
The Liberty Braves Group

BATRA

Price: $44.06

Market Cap: $2.50B

B
The Liberty Braves Group

BATRK

Price: $40.05

Market Cap: $2.51B

C
Cinemark Holdings, Inc.

CNK

Price: $24.84

Market Cap: $3.04B

E
Endeavor Group Holdings, Inc.

EDR

Price: $29.25

Market Cap: $9.52B

F
Fox Corporation

FOXA

Price: $54.73

Market Cap: $23.83B

F
Formula One Group

FWONA

Price: $80.35

Market Cap: $27.94B

I
IMAX Corporation

IMAX

Price: $26.14

Market Cap: $1.39B

L
Live Nation Entertainment, Inc.

LYV

Price: $125.03

Market Cap: $28.90B

M
Manchester United plc

MANU

Price: $13.43

Market Cap: $2.30B

M
The Marcus Corporation

MCS

Price: $16.58

Market Cap: $513.94M

N
News Corporation

NWS

Price: $29.66

Market Cap: $15.60B

N
Nexstar Media Group, Inc.

NXST

Price: $176.45

Market Cap: $5.38B

S
Sphere Entertainment Co.

SPHR

Price: $33.23

Market Cap: $1.19B

W
Warner Music Group Corp.

WMG

Price: $31.56

Market Cap: $16.42B

Related Metrics

Explore detailed financial metrics and analysis for PLAY.