Rush Street SPAC Presentation Deck
Financial Statements - Income Statement
Rush Street Interactive, LP
Unaudited Income Statement
Tax Basis
($'000s)
Revenue
Online Wagering
Retail Commissions
Other
Total Revenue
Operating Expenses
Operating Costs & Expenses
Costs of online wagering
Advertising and promotions
General administration and other
Total Operating Expenses
EBITDA
Depreciation and amortization
Net Income
Actual
12 Months Ended
December 2019
$ 60,941
946
1,367
$ 63,254
$ 29,434
30,005
13,253
$ 72,692
$ (9,438)
1,060
$ (10,498)
Actual
3 Months Ended
March 2020
$ 35,813
205
485
$36,503
$ 22,344
8,415
3,596
$ 34,355
$2,148
229
$ 1,919
1. The financial statements presented herein have not been audited and are derived from RSI internal records maintained primarily on a cash basis for tax reporting. The financials statements presented herein have not been audited and the financial statements once audited may have certain adjustments to the information presented
herein 2. The categories and classifications presented herein have been determined solely by RSI and have not been audited. Such categories and classifications may be differently reflected in any audited financial statements 3. The information presented herein is subject to and qualified by the provisions set forth in the "Disclaimer"
section of the investor presentation
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