Follow-The-Filings

Security · featured owners

PLAY Dave & Busters Entmt Inc.

Consumer Discretionary COM Equity as of 2026 Q2 among managers we track

  • 1 Owner
  • Max 0.1%
  • $2M
  • 1 reduce 1 exit

PLAY (Dave & Busters Entmt Inc.) is held in 1 featured 13F book as of 2026 Q2. Samantha Mclemore - Patient Capital Management is the largest tracked holder by portfolio weight (0.08%). Figures are as-filed 13F, not free float.

Who owns this now

Largest portfolio weights among featured holders · max 0.1% (Samantha Mclemore - Patient Capital Management) · not free-float ownership

  1. Samantha Mclemore reduce 0.08%

holders

sorted by value · long equity only · current book 2026 Q2 · open a manager for their book

history
Samantha Mclemore - Patient Capital Management 2026 Q2 0.08% Reduce −82.3% 204,022 $2M history
Lee Ainslie - Maverick Capital exited 2026 Q2 last 2026 Q1 0.01% Exit −0.01% 59,114 $640K history

SEC filings

Recent issuer filings from EDGAR · 8 shown · open Filing / Doc on SEC.gov

Filed Form Detail Links
10-Q
8-K 2.02,9.01
8-K 5.02,9.01
8-K 5.07,9.01
8-K 2.02,9.01
10-Q
DEFA14A
8-K 5.02,7.01,9.01

Insider forms

Form 3 / 4 / 5 from EDGAR · 14 rows shown

Filed Form Detail Links
4 Period Aug 31, 2026 · 2 forms
4 Period Aug 18, 2026
4 Period Aug 10, 2026 · 3 forms
4/A Period Aug 10, 2026
4 Period Aug 12, 2026
4 Period Aug 5, 2026 · 3 forms
4 Period Aug 5, 2026 · 4 forms
4 Period Jun 30, 2026
4 Period Jun 24, 2026
4 Period Jun 22, 2026 · 2 forms
4 Period Jun 8, 2026
4 Period Jun 2, 2026
4 Period Jun 2, 2026 · 3 forms
4 Period May 6, 2026

financials

US-GAAP annual · as tagged in Form 10-K · fiscal years · values link to the SEC filing

Income statement

Metric FY2023 FY2025
Revenue $1.96B $2.13B
Gross profit * $1.66B $1.82B
Gross margin * 84.3% 85.3%
Net income $58.3M
Net margin * 2.7%

Balance sheet

Metric FY2023 FY2025
Total current assets $293.7M $94.4M
Total non-current assets * $3.47B $3.92B
Total assets $3.76B $4.02B
Total current liabilities $438M $433.9M
Total equity $410.5M $145.8M

Cash flow

Metric FY2023 FY2025
Cash from operations $444.4M $312.3M
Cash from investing -$1.05B -$0.53B
Cash from financing $762.9M $187.1M
Net change in cash $155.7M -$30.4M

ownership over time

filing count by report period · click a bar for that quarter’s holders