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WildBrain Ltd. (T:WILD)

Business Focus: Entertainment Production (NEC)

Sector:  Consumer Cyclicals Industry:  Entertainment Production
See Regulatory Filings on SEDAR
Company Contact
Address: 5657 Spring Garden Road, Suite 505,
PO Box 117
Tel: N/A
IR: See website
Key People
Josh Scherba
Eric Ellenbogen
Chief Executive Officer, Vice Chairman of the Board
Aaron Sholom Ames
Chief Financial Officer
Maarten Weck
Executive Vice President, Managing Director, WildBrain CPLG
James Bishop
General Counsel, Corporate Secretary
Business Overview
WildBrain Ltd. is a Canada-based independent kids and entertainment company. The Company develops, produces and distributes films and television programs for domestic and international markets; licenses its brands in the domestic and international markets; broadcasts films and television programs in the domestic market; sells advertising on various ad-supported video-on-demand platforms, and manages copyrights, licensing and brands for third parties. Its television programs include Caillou, Chip and Potato, Degrassi, Inspector Gadget, Johnny Test, Peanuts, Strawberry Shortcake, Teletubbies and Yo Gabba Gabba!. Through its agency, WildBrain CPLG, it also licenses consumer products and location-based entertainment in every major territory for its own properties as well as for its clients and content partners. Its television group owns and operates four family entertainment channels that are viewed in Canada.
Financial Overview
For the fiscal year ended 30 June 2022, WildBrain Ltd revenues increased 12% to C$507.2M. Net income totaled C$5.6M vs. loss of C$7.1M. Revenues reflect Content segment increase of 15% to C$465.5M. Net Income reflects Content segment income increase of 16% to C$123.8M. Basic Earnings per Share excluding Extraordinary Items increased from -C$0.04 to C$0.03.
Employees: 583 as of Jun 30, 2022
Reporting Currency: Canadian Dollars
Enterprise value: $955.76M as of Jun 30, 2022
Annual revenue (TTM): $507.22M as of Jun 30, 2022
EBITDA (TTM): $103.04M as of Jun 30, 2022
Net annual income (TTM): $5.64M as of Jun 30, 2022
Free cash flow (TTM): $22.26M as of Jun 30, 2022
Net Debt Last Fiscal Year: $573.80M as of Jun 30, 2022
Shares outstanding: 315,056,930 as of Aug 15, 2022
TTM: Trailing Twelve Months
EBITDA: Earnings Before Interest, Taxes, Depreciation, & Amortization