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Screener
Q2 '26Q1 '26Q4 '25Q3 '25Q2 '25
Profitability
Gross margin85.4%-0.3pp85.8%+0.4pp85.7%+0.5pp85.8%+0.9pp85.6%+1.0pp
Net margin-4.3%-4.7pp-3.1%-4.9pp-2.3%-5.0pp0%-3.9pp0.5%-4.6pp
Returns
Return on equity-69.7%-74.0pp-52.5%-70.1pp-41.1%-70.5pp0.2%-38.7pp4.3%-33.3pp
Return on invested capital1.1%-4.0pp2.1%-3.1pp2.6%-3.0pp4.3%-2.0pp5.1%-1.8pp
Efficiency
Asset turnover0.5×0.0×0.5×0.0×0.5×0.0×0.5×-0.1×0.5×-0.1×
Liquidity
Current ratio0.3×0.0×0.3×0.0×0.3×+0.1×0.3×0.0×0.3×+0.1×
Leverage
Debt-to-equity36.1×+16.8×31.9×+10.1×35.3×+13.6×24.7×+10.9×19.3×+8.9×
Net debt / EBITDA9.5×+1.8×8.9×+1.5×8.8×+1.9×8×+1.8×7.7×+2.0×
Per Share
Book value per share$2.53-46.6%$2.85-31.7%$2.63-27.8%$3.79-34.6%$4.73-32.2%
Valuation
Market capitalization$223.96M-64.3%$363.37M-45.1%$673.84M-36.1%$491.23M-67.7%$915.23M-29.8%
Price / sales0.1×-0.2×0.2×-0.1×0.3×-0.2×0.2×-0.5×0.4×-0.2×
Price / book2.5×-1.2×3.6×-0.9×7.4×+0.2×3.8×-3.0×5.5×+0.9×
EV / EBITDA10.2×+0.9×9.9×+1.0×10.6×+1.4×9.3×0.0×10×+1.6×

FAQ

What are Dave & Buster's Entertainment's profit margins?
Dave & Buster's Entertainment (PLAY) runs a 85.4% gross margin and a 6.8% operating margin, with a -4.3% net margin.
Where do Dave & Buster's Entertainment's ratios come from?
Every ratio is computed from Dave & Buster's Entertainment's SEC filings — trailing-twelve-month flows over period-end balances. Valuation multiples combine those fundamentals with market data, recomputed each period. Switch between quarterly, annual, and TTM, or open any ratio for its full history and peer comparisons.