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Brag House Holdings, Inc. (TBH) 10-Year Financial Performance & Capital Metrics

TBH • • Industrial / General
TechnologyGaming & MultimediaEsports & Competitive GamingEsports Tournament Platforms
AboutBrag House Holdings, Inc. operates an integrated electronic video game sports or esports platform for casual gamers. It hosts esports tournaments, including the streaming and live broadcast of tournaments. The company also offers in-game stat-based predictions, including lifestyle and behavior insights, and predictive analytics to brands; and advertising and marketing services. In addition, it sells merchandise, such as customized long sleeve shirts, T-shirts, standard and zip up hoodies, beanies, and snapback hats through its website. The company was founded in 2020 and is based in Montclair, New Jersey.Show more
  • Revenue $105 -100.0%
  • EBITDA -$1M +41.7%
  • Net Income -$3M +29.6%
  • EPS (Diluted) -0.31 +29.5%
  • Gross Margin -341.9% -477.8%
  • EBITDA Margin -1056568.57% -203335.8%
  • Operating Margin -1420637.14% -262518.1%
  • Net Margin -3131922.86% -245527.2%
  • ROE -
  • ROIC -
  • Debt/Equity -
  • Interest Coverage -0.68 +4.4%
Technical Analysis

Key Insights

Based on financial data analysis

✓Strengths

No significant strengths identified

✗Weaknesses

  • ✗Negative free cash flow
  • ✗Weak momentum: RS Rating 7 (bottom 7%)
  • ✗Low quality earnings: Net income not backed by cash flow
  • ✗Trading more than 30% below 52-week high
  • ✗Low asset turnover indicates capital-intensive operations

* These insights are generated automatically based on available financial data. Please conduct your own research before making investment decisions.

Price & Volume

Loading chart...

Growth Metrics

Revenue CAGR

10Y-
5Y-
3Y-87.44%
TTM-99.99%

Profit (Net Income) CAGR

10Y-
5Y-
3Y-
TTM87.16%

EPS CAGR

10Y-
5Y-
3Y-
TTM41.35%

ROCE

10Y Avg-2862.86%
5Y Avg-2862.86%
3Y Avg-
Latest-

Peer Comparison

Esports Tournament Platforms
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Sector-Specific
NameMarket CapCurrent PriceP/E RatioRevenue Growth 1YNet MarginROEFCF YieldDebt/Equity
TBHBrag House Holdings, Inc.9.64M0.46-1.48-99.97%-10391.82%-3.13%
SKLZSkillz Inc.49.75M4.26-1.58-37.23%-48.15%-20.73%0.80

Profit & Loss

Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Sales/Revenue+048052.96K250.31K366.44K105
Revenue Growth %--109.33%3.73%0.46%-1%
Cost of Goods Sold+0029.38K104.27K34.84K464
COGS % of Revenue--0.55%0.42%0.1%4.42%
Gross Profit+048023.58K146.03K331.6K-359
Gross Margin %-1%0.45%0.58%0.9%-3.42%
Gross Profit Growth %--48.13%5.19%1.27%-1%
Operating Expenses+459.3K564.43K2.16M3.28M2.31M1.49M
OpEx % of Revenue-1175.9%40.76%13.11%6.31%14202.95%
Selling, General & Admin459.3K542.79K2.12M3.25M2.29M1.47M
SG&A % of Revenue-1130.82%40.09%13%6.25%14002.63%
Research & Development021.64K35.49K27.56K24.07K21.03K
R&D % of Revenue-45.08%0.67%0.11%0.07%200.32%
Other Operating Expenses000000
Operating Income+-459.3K-563.95K-2.14M-3.13M-1.98M-1.49M
Operating Margin %--1174.9%-40.32%-12.52%-5.41%-14206.37%
Operating Income Growth %--0.23%-2.79%-0.47%0.37%0.25%
EBITDA+-459.3K-563.95K-2.13M-3.13M-1.9M-1.11M
EBITDA Margin %--1174.9%-40.31%-12.51%-5.19%-10565.69%
EBITDA Growth %--0.23%-2.79%-0.47%0.39%0.42%
D&A (Non-Cash Add-back)000000
EBIT-459.3K-563.95K-2.13M-3.13M-1.9M-1.11M
Net Interest Income+000-396.33K-2.77M-2.18M
Interest Income000000
Interest Expense000396.33K2.77M2.18M
Other Income/Expense00240-393.79K-2.69M-1.8M
Pretax Income+-459.3K-563.95K-2.13M-3.53M-4.67M-3.29M
Pretax Margin %--1174.9%-40.31%-14.1%-12.75%-31319.23%
Income Tax+000000
Effective Tax Rate %1%1%1%1%1%1%
Net Income+-459.3K-563.95K-2.13M-3.53M-4.67M-3.29M
Net Margin %--1174.9%-40.31%-14.1%-12.75%-31319.23%
Net Income Growth %--0.23%-2.79%-0.65%-0.32%0.3%
Net Income (Continuing)-459.3K-563.95K-2.13M-3.53M-4.67M-3.29M
Discontinued Operations000000
Minority Interest000000
EPS (Diluted)+-0.04-0.05-0.20-0.34-0.44-0.31
EPS Growth %--0.23%-2.72%-0.7%-0.29%0.3%
EPS (Basic)-0.04-0.05-0.20-0.34-0.44-0.31
Diluted Shares Outstanding10.5M10.5M10.5M10.5M10.5M10.5M
Basic Shares Outstanding10.5M10.5M10.5M10.5M10.5M10.5M
Dividend Payout Ratio------

Balance Sheet

Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Total Current Assets+04.53K442.95K662.28K99.12K82.23K
Cash & Short-Term Investments04.53K384.64K560.38K33.89K29.23K
Cash Only04.53K384.64K560.38K33.89K29.23K
Short-Term Investments000000
Accounts Receivable009.61K100K34.67K34.67K
Days Sales Outstanding--66.21145.8234.53120.51K
Inventory000000
Days Inventory Outstanding------
Other Current Assets0048.7K1.9K30.56K18.33K
Total Non-Current Assets+005.41K8.64K619.47K1.22M
Property, Plant & Equipment000000
Fixed Asset Turnover------
Goodwill000000
Intangible Assets000000
Long-Term Investments000000
Other Non-Current Assets005.41K8.64K619.47K1.22M
Total Assets+04.53K448.36K670.92K718.59K1.3M
Asset Turnover-0.11x0.12x0.37x0.51x0.00x
Asset Growth %--98.08%0.5%0.07%0.81%
Total Current Liabilities+026.89K276.83K2.63M6.8M9.76M
Accounts Payable00114.44K195.38K953.2K1.93M
Days Payables Outstanding--1.42K683.949.99K1000K
Short-Term Debt0001.8M4.53M6.04M
Deferred Revenue (Current)000000
Other Current Liabilities004.13K23823895.24K
Current Ratio-0.17x1.60x0.25x0.01x0.01x
Quick Ratio-0.17x1.60x0.25x0.01x0.01x
Cash Conversion Cycle------
Total Non-Current Liabilities+17971.19K0000
Long-Term Debt000000
Capital Lease Obligations000000
Deferred Tax Liabilities000000
Other Non-Current Liabilities17971.19K0000
Total Liabilities17998.07K276.83K2.63M6.8M9.76M
Total Debt+0001.8M4.53M6.04M
Net Debt0-4.53K-384.64K1.24M4.49M6.01M
Debt / Equity------
Debt / EBITDA------
Net Debt / EBITDA------
Interest Coverage----7.91x-0.72x-0.68x
Total Equity+-179-93.55K171.52K-1.96M-6.08M-8.46M
Equity Growth %--521.61%2.83%-12.43%-2.1%-0.39%
Book Value per Share-0.00-0.010.02-0.19-0.58-0.81
Total Shareholders' Equity-179-93.55K171.52K-1.96M-6.08M-8.46M
Common Stock71392413.68K14.79K14.79K14.55K
Retained Earnings-459.48K-1.02M-3.16M-6.69M-11.36M-14.65M
Treasury Stock000000
Accumulated OCI00-14.48K-15.18K-15.18K-15.18K
Minority Interest000000

Cash Flow

Dec 2019Dec 2020Dec 2021Dec 2022Dec 2023Dec 2024
Cash from Operations+0-118.37K-1.35M-2.12M-777K-571.68K
Operating CF Margin %--246.6%-25.45%-8.47%-2.12%-5444.58%
Operating CF Growth %---10.38%-0.57%0.63%0.26%
Net Income-459.3K-563.95K-2.13M-3.53M-4.67M-3.29M
Depreciation & Amortization0000050.63B
Stock-Based Compensation459.3K445.58K642.65K593.14K556.22K179.77K
Deferred Taxes000000
Other Non-Cash Items000554.41K2.85M-50.63B
Working Capital Changes00144.65K260.6K488.23K256.76K
Change in Receivables000-100K65.33K0
Change in Inventory000000
Change in Payables00114.44K80.94K451.34K489.58K
Cash from Investing+000000
Capital Expenditures000000
CapEx % of Revenue------
Acquisitions------
Investments------
Other Investing000000
Cash from Financing+0122.89K1.73M2.3M250.51K567.02K
Debt Issued (Net)------
Equity Issued (Net)------
Dividends Paid000000
Share Repurchases------
Other Financing097.89K-153.6K-51.88K-2K0
Net Change in Cash------
Free Cash Flow+0-118.37K-1.35M-2.12M-777K-571.68K
FCF Margin %--246.6%-25.45%-8.47%-2.12%-5444.58%
FCF Growth %---10.38%-0.57%0.63%0.26%
FCF per Share--0.01-0.13-0.20-0.07-0.05
FCF Conversion (FCF/Net Income)-0.21x0.63x0.60x0.17x0.17x
Interest Paid00011.28K025K
Taxes Paid000000

Key Ratios

Metric201920202021202220232024
Return on Equity (ROE)---5475.81%---
Gross Margin-100%44.53%58.34%90.49%-341.9%
Net Margin--117490%-4031.4%-1409.68%-1275.07%-3131922.86%
Interest Coverage----7.91x-0.72x-0.68x
FCF Conversion-0.21x0.63x0.60x0.17x0.17x
Revenue Growth--10932.71%372.66%46.4%-99.97%

Frequently Asked Questions

Growth & Financials

Brag House Holdings, Inc. (TBH) reported $0.0M in revenue for fiscal year 2024.

Brag House Holdings, Inc. (TBH) saw revenue decline by 100.0% over the past year.

Brag House Holdings, Inc. (TBH) reported a net loss of $0.5M for fiscal year 2024.

Dividend & Returns

Brag House Holdings, Inc. (TBH) had negative free cash flow of $4.3M in fiscal year 2024, likely due to heavy capital investments.

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