Brave Bison Group PLC (BBSN)

Industry Internet Content & Information

This stock can be held in an Investment ISA, SIPP and Investment Account
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2.50p

Buy

2.70p

arrow-up0.05p (+1.96%)

Brave Bison Group PLC monetizes online video content. The Company is engaged in online video content marketing with particular emphasis on social media talent. It brings together Content Owners, Creators, Brands and Publishers.
Prices updated at 19 May 2025, 17:15 BST
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Prices in GBX

Income statement

20172018201920202021202220232024
18m21m17m14m22m32m36m33m
5m6m5m4m8m17m21m21m
-4m-112,000-1m-1m525,0001m1m2m
-21.86-0.53-8.23-8.532.424.622.955.77
-15m-70,000-3m-2m458,0002m3m2m
-2m626,000-2m-574,000582,0002m2m3m
Sales, General and administrative9m7m7m5m7m15m20m19m
Interest expenses38,000-22,00061,00067,00086,000143,000195,000
Provision for income taxes-2m-33,000-35,000-227,000--624,000-2m-309,000
Operating expenses9m7m7m5m7m15m20m19m
Income before taxes-17m-103,000-3m-2m458,0001m1m2m
Net income available to common shareholders-15m-70,000-3m-2m458,0002m3m2m
-0.0259-0.0001-0.0045-0.00330.00060.00190.00270.0018
Net interest income-38,00028,00063,000-57,000-67,000-6,00055,00057,000
Advertising and promotion--------
Net investment income, net--------
Realised capital gains (losses), net--------
Total benefits, claims and expenses--------
Earnings per share (diluted)-0.0259-0.0001-0.0045-0.00330.00060.00180.00250.0016
Free cash flow per share-0.0054-0.0018-0.001-0.00260.00260.0039-0.0019
Book value/share0.03130.00840.0070.00230.00090.00810.01140.0155
Debt equity ratio--0.1441860.0657890.0930940.0198560.0876630.074163

Balance sheet

20172018201920202021202220232024
Current assets9m11m7m6m13m14m13m16m
Current liabilities6m8m5m5m11m10m9m9m
Total capital5m5m3m810,0008m10m19m21m
Total debt--900,000466,0001m701,0002m2m
Total equity5m5m3m760,0008m10m19m21m
Total non current liabilities--------
Loans---50,000308,000199,000143,000116,000
Total assets12m13m9m6m20m21m30m33m
Total liabilities--------
Cash and cash equivalents5m5m4m3m6m6m7m8m
Common stock574m576m612m613m1,081m1,081m1,288m1,292m

Cash flow

20172018201920202021202220232024
Cash at beginning of period7m5m5m4m3m6m6m7m
Cash dividends paid--------
-2m497,000-1m-990,0004m2m2m1m
Investments (gains) losses-661,000-333,000-232,000-162,000-6m-335,000-5m-565,000
5m5m4m3m6m6m7m8m
Net income--------
-2m858,000-894,000-824,0004m2m2m2m
-586,000-361,000-275,000-166,000-34,000-81,000-156,000-167,000
The figures shown in the tables are quoted in the currency of the stock selected.
Please note that past performance is not a reliable indicator of future returns. Please use the interactive graph for benchmark comparison.


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