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Markets
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nasdaq-coin
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Coinbase Global Inc
COIN
400.500
USD
+12.480
+3.22%
Market hours (ET)
Quotes delayed by 15 min
USD
0.000
Pre-market (ET)
101.96B
Market Cap
67.33
P/E TTM
Coinbase Global Inc
400.500
+12.480
+3.22%
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Overview
Company
Financials
Statements
Income Statement
Balance Sheet
Cash Flow Statement
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
Operating cash flows (indirect method)
Cash flow from continuing operating activities
-144.41%
-182.73M
18700.42%
964.62M
121.88%
696.54M
220.40%
484.20M
-11.14%
411.49M
-100.16%
-5.19M
132.92%
313.94M
104.98%
151.12M
606.89%
463.08M
7.97%
3.23B
-378.76%
-953.50M
-176.17%
-3.03B
-102.68%
-91.36M
--
2.99B
--
342.05M
--
3.98B
--
3.41B
Net income from continuing operations
-94.42%
65.61M
372.20%
1.29B
3433.11%
75.50M
137.11%
36.15M
1590.88%
1.18B
149.09%
273.44M
99.58%
-2.27M
91.09%
-97.41M
81.64%
-78.90M
-166.29%
-557.00M
-234.11%
-544.63M
-168.08%
-1.09B
-155.69%
-429.66M
--
840.21M
--
406.10M
--
1.61B
--
771.46M
Operating gains losses
13.66%
33.33M
-42.96%
32.99M
-45.90%
30.70M
-46.89%
34.50M
-61.24%
29.33M
-54.09%
57.84M
-15.51%
56.74M
-86.58%
64.97M
-70.98%
75.67M
6.18%
125.97M
-11.04%
67.15M
158.26%
484.01M
2116.35%
260.71M
--
118.65M
--
75.49M
--
187.41M
--
11.76M
Deferred tax
-125.44%
-54.54M
154.32%
90.24M
-207.86%
-22.89M
-1124.03%
-130.40M
354.68%
214.36M
-597.68%
-166.12M
119.88%
21.22M
108.25%
12.73M
54.05%
-84.17M
-273.61%
-23.81M
77.71%
-106.70M
-65.31%
-154.34M
-508941.67%
-183.18M
--
13.71M
--
-478.72M
--
-93.36M
--
36.00K
Other non-cash items
193.49%
708.64M
-449.14%
-516.39M
200.67%
119.81M
976.12%
418.65M
-602.06%
-757.96M
-1127.62%
-94.04M
-588.49%
-119.01M
-190.77%
-47.78M
-352.35%
-107.96M
83.74%
-7.66M
89.02%
-17.29M
154.41%
52.64M
51.43%
-23.87M
--
-47.11M
--
-157.39M
--
-96.76M
--
-49.14M
Change in working capital
-137.66%
-1.13B
17.50%
-155.39M
30.53%
245.02M
-912.99%
-93.63M
-250.32%
-474.00M
-105.54%
-188.34M
123.55%
187.71M
100.41%
11.52M
524.52%
315.33M
84.80%
3.40B
-458.57%
-797.00M
-229.26%
-2.82B
-102.87%
-74.28M
--
1.84B
--
222.27M
--
2.18B
--
2.59B
-Change in receivables
--
-10.44M
--
--
--
--
--
--
--
--
53.06%
-81.32M
1126.88%
117.90M
2202.34%
30.55M
-902.94%
-67.13M
-282.75%
-173.23M
75.31%
-11.48M
-101.52%
-1.45M
169.81%
8.36M
--
-45.26M
--
-46.51M
--
95.73M
--
-11.98M
-Change in other current assets
--
-1.09B
--
--
--
--
--
--
--
--
-14.50%
-457.76M
112.05%
13.70M
89.05%
-15.48M
531.90%
459.54M
-2190.85%
-399.79M
-122.58%
-113.66M
82.80%
-141.40M
-176.09%
-106.40M
--
19.12M
--
503.42M
--
-822.05M
--
139.84M
-Change in other current liabilities
--
-12.38M
--
--
--
--
--
--
--
--
-100.76%
-30.26M
107.23%
50.05M
99.87%
-3.45M
-129.72%
-16.34M
95.68%
3.98B
-183.80%
-692.14M
-197.39%
-2.71B
-97.73%
54.98M
--
2.04B
--
-243.89M
--
2.78B
--
2.42B
Cash from non-recurring investing activities
Cash from operating activities
-144.41%
-182.73M
18700.42%
964.62M
121.88%
696.54M
220.40%
484.20M
-11.14%
411.49M
-100.16%
-5.19M
132.92%
313.94M
104.98%
151.12M
606.89%
463.08M
7.97%
3.23B
-378.76%
-953.50M
-176.17%
-3.03B
-102.68%
-91.36M
--
2.99B
--
342.05M
--
3.98B
--
3.41B
Investing cash flow
Net cash from continuing investing activities
366.79%
137.46M
148.71%
34.10M
172.51%
18.32M
97.11%
-901.00K
10.40%
-51.52M
-348.95%
-70.00M
-1461.58%
-25.27M
-29.61%
-31.18M
-112.20%
-57.50M
-105.93%
-15.59M
-96.16%
1.86M
-113.38%
-24.06M
5949.44%
471.49M
--
262.85M
--
48.29M
--
179.80M
--
7.79M
Capital expenditures
109591.11%
148.08M
-58.53%
52.59M
-64.39%
18.49M
--
--
-99.75%
135.00K
110.16%
126.81M
-61.48%
51.92M
-86.27%
46.17M
-93.89%
53.27M
-96.15%
60.34M
-64.50%
134.78M
-41.21%
336.31M
57.74%
872.35M
--
1.57B
--
379.62M
--
572.09M
--
553.03M
Net cash flow from disposal of fixed assets
366.79%
137.46M
148.71%
34.10M
172.51%
18.32M
97.11%
-901.00K
10.40%
-51.52M
-348.95%
-70.00M
-1461.58%
-25.27M
-29.61%
-31.18M
-112.20%
-57.50M
-106.90%
-15.59M
-96.16%
1.86M
-115.44%
-24.06M
5949.44%
471.49M
--
226.05M
--
48.29M
--
155.80M
--
7.79M
Net cash flow from intangible asset transactions
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
-100.00%
0.00
--
0.00
-100.00%
0.00
--
--
--
36.80M
--
0.00
--
24.00M
--
--
Net cash flow from business transactions
--
--
--
--
--
--
--
--
--
--
--
0.00
--
0.00
--
0.00
83.49%
-30.73M
100.00%
0.00
100.00%
0.00
100.00%
0.00
-1026.48%
-186.15M
--
-31.51M
--
-6.41M
--
-16.47M
--
-16.52M
Net cash flow from investment products
81.54%
-29.87M
-162.84%
-16.49M
54.04%
-33.43M
105.76%
171.00K
-357.59%
-161.81M
100.03%
26.25M
-4817.71%
-72.73M
-104.13%
-2.97M
-42.20%
-35.36M
107.31%
13.12M
99.40%
-1.48M
173.26%
71.92M
-170.19%
-24.87M
--
-179.41M
--
-246.24M
--
-98.17M
--
-9.20M
Net cash flow from other investing activities
-317.69%
-64.33M
120.49%
1.18M
-48.28%
-36.92M
-32.20%
-19.68M
11.96%
-15.40M
89.54%
-5.74M
-58.17%
-24.90M
35.28%
-14.89M
-92.61%
-17.49M
-735.17%
-54.84M
-175.23%
-15.74M
-326.12%
-23.01M
-106.97%
-9.08M
--
-6.57M
--
-5.72M
--
-5.40M
--
-4.39M
Cash from non-current investing activities
Net cash flow from investing activities
-84.32%
-231.65M
-154.60%
-49.42M
-22.54%
-88.68M
-239.66%
-18.61M
-381.91%
-125.68M
446.46%
90.51M
-279.30%
-72.36M
-81.74%
13.33M
96.23%
-26.08M
94.56%
-26.12M
93.78%
-19.08M
124.34%
72.97M
-1724.30%
-691.59M
--
-480.32M
--
-306.67M
--
-299.84M
--
-37.91M
Financing cash flow
Cash flow from continuous financing activities
-146.37%
-893.80M
132.58%
2.15B
47.40%
-311.32M
41.73%
-933.73M
318.95%
1.93B
116.45%
922.80M
-1293.67%
-591.87M
-702.84%
-1.60B
163.44%
460.13M
-5037.92%
-5.61B
-102.17%
-42.47M
-114.52%
-199.59M
-1312.51%
-725.32M
--
-109.19M
--
1.96B
--
1.37B
--
59.82M
Net cash flow from debt Issuance/repayment
-100.00%
0.00
100.00%
0.00
100.00%
0.00
--
0.00
5675.21%
1.14B
-494.81%
-80.87M
--
-222.66M
100.00%
0.00
-115.83%
-20.48M
--
20.48M
-100.00%
0.00
-111.23%
-150.00M
--
129.40M
--
0.00
--
1.97B
--
1.34B
--
--
Net cash flow from common stock issuance/repurchase
--
--
126.30%
45.92M
-2.75%
10.70M
225.42%
25.30M
398.32%
44.22M
92.90%
20.29M
20.76%
11.00M
-48.07%
7.78M
-47.47%
8.87M
-75.02%
10.52M
-63.67%
9.11M
-83.45%
14.97M
-71.56%
16.89M
--
42.12M
--
25.08M
--
90.48M
--
59.39M
Proceeds from issuance of warrants
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
--
0.00
--
0.00
--
--
--
--
--
0.00
--
0.00
--
0.00
--
433.00K
Net cash flow from other financing activities
-220.53%
-893.80M
113.59%
2.10B
15.30%
-322.03M
40.44%
-959.04M
57.20%
741.59M
117.43%
983.37M
-637.12%
-380.20M
-2393.83%
-1.61B
154.12%
471.74M
-3628.26%
-5.64B
-29.16%
-51.58M
-24.96%
-64.57M
--
-871.62M
--
-151.30M
--
-39.93M
--
-51.67M
--
--
Net cash from non-recurrent financing activities
Net cash from financing activities
-146.37%
-893.80M
132.58%
2.15B
47.40%
-311.32M
41.73%
-933.73M
318.95%
1.93B
116.45%
922.80M
-1293.67%
-591.87M
-702.84%
-1.60B
163.44%
460.13M
-5037.92%
-5.61B
-102.17%
-42.47M
-114.52%
-199.59M
-1312.51%
-725.32M
--
-109.19M
--
1.96B
--
1.37B
--
59.82M
Net cash flow
Beginning cash balance
52.90%
14.61B
36.49%
11.62B
26.91%
11.27B
13.64%
11.75B
1.33%
9.56B
-26.76%
8.51B
-31.09%
8.88B
-36.05%
10.34B
-46.67%
9.43B
-24.25%
11.62B
-3.49%
12.89B
94.64%
16.17B
264.10%
17.68B
--
15.34B
--
13.36B
--
8.31B
--
4.86B
Current period cash flow changes
-159.60%
-1.31B
186.66%
2.99B
191.66%
342.13M
67.47%
-472.88M
141.31%
2.19B
147.66%
1.04B
70.64%
-373.28M
55.61%
-1.45B
160.02%
908.50M
-193.64%
-2.19B
-164.15%
-1.27B
-164.81%
-3.27B
-143.88%
-1.51B
--
2.34B
--
1.98B
--
5.05B
--
3.45B
Effect of exchange rate changes
107.81%
1.66M
-288.32%
-68.03M
298.35%
45.59M
69.92%
-4.74M
-286.22%
-21.19M
-83.04%
36.13M
91.03%
-22.98M
86.24%
-15.75M
306.59%
11.38M
434.01%
213.00M
-2013.88%
-256.33M
-2093.73%
-114.42M
-133.93%
-5.51M
--
-63.77M
--
-12.13M
--
-5.22M
--
16.23M
Ending cash balance
13.25%
13.30B
52.90%
14.61B
36.49%
11.62B
26.91%
11.27B
13.64%
11.75B
1.33%
9.56B
-26.76%
8.51B
-31.09%
8.88B
-36.05%
10.34B
-46.67%
9.43B
-24.25%
11.62B
-3.49%
12.89B
94.64%
16.17B
--
17.68B
--
15.34B
--
13.36B
--
8.31B
Free cash flow
-180.42%
-330.81M
790.93%
912.03M
158.78%
678.06M
361.34%
484.20M
0.38%
411.35M
-104.16%
-132.00M
124.08%
262.02M
103.11%
104.95M
142.52%
409.81M
122.52%
3.17B
-2796.51%
-1.09B
-198.80%
-3.37B
-133.71%
-963.71M
--
1.43B
--
-37.57M
--
3.41B
--
2.86B
Currency unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit opinions
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