Coinbase Global, Inc.
Company Overview
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Comprehensive financial statements, metrics, and performance analysis
Financial Performance Overview
12 mos ending Dec 31, 202112 mos ending Dec 31, 202212 mos ending Dec 31, 202312 mos ending Dec 31, 20243 mos ending Mar 31, 20243 mos ending Mar 31, 2025CAGR %YoY %Revenue (+)
$7839.44
3194.21
3108.38
6564.03
1637.57
2034.30
-5.75%24.23%Net Interest Income (+)$
-88.90
-82.77
-19.07
Interest Expense (-)
$
88.90
82.77
80.64
19.07
20.51
7.55%Non Interest Income (+)$
3283.11
3191.15
1656.64
Selling, General & Administrative (-)
$663.69
510.09
332.31
654.44
98.58
247.28
-0.47%150.83%Non-recurring Operating Expenses (-)$
40.70
142.59
Operating Expenses (-)
$4762.87
5904.42
3270.05
4256.87
877.11
1328.49
-3.67%51.46%Operating Income/Loss (+)$3076.57
-2710.21
-161.66
2307.16
760.46
705.81
-9.15%-7.19%Non-operating Income/Expense (+)$-49.62
-265.47
167.58
29.07
45.60
-6.19
-113.57%Earnings before Tax (+)$3026.95
-3064.58
-76.84
2942.64
1437.42
82.46
-0.94%-94.26%Tax Expense (-)$-597.17
-439.63
-171.72
363.58
261.18
16.85
-93.55%Income/Loss (Continuing Operations) (+)$3624.12
-2624.95
94.87
2579.07
1176.24
65.61
-10.72%-94.42%Net Income/Loss (+)$3624.12
-2624.95
94.87
2579.07
1176.24
65.61
-10.72%-94.42%Net Income/Loss (Common) (+)$3096.96
-2624.95
94.75
2577.76
1175.48
65.61
-5.93%-94.42%EPS (Basic)$17.47
-11.81
0.40
10.42
4.84
0.26
-15.82%-94.63%EPS (Diluted)$14.50
-11.83
0.37
9.48
4.40
0.24
-13.21%-94.55%Weighted Avg Shares (Basic)177.32
222.31
235.80
247.37
242.79
253.88
11.74%4.57%Weighted Avg Shares (Diluted)219.97
222.34
254.39
273.38
267.94
271.25
7.52%1.23%Cash$7154.43
4450.89
5162.34
8582.42
6744.90
8106.84
6.25%20.19%Receivables$396.02
404.38
361.71
740.62
809.50
699.59
23.20%-13.58%Prepaid Expenses (Current)$135.85
217.05
148.81
Property, Plant & Equipment (Net)
$157.62
241.21
205.29
200.08
8.28%Goodwill & Intangibles
$625.76
1073.91
1139.67
1139.67
1139.67
1153.62
22.12%1.22%Other Assets$12804.75
83337.44
199965.12
11879.16
339342.41
11770.96
-2.47%-96.53%Assets (Total)$21274.42
89724.87
206982.95
22541.95
348036.48
21731.01
1.95%-93.76%Accounts Payable$479.39
387.28
486.34
690.14
438.32
662.04
12.91%51.04%Debt (Non-current)$3384.80
3393.45
2979.96
4234.08
4225.01
4237.09
7.75%0.29%Other Liabilities$11028.55
80489.59
197235.00
7340.89
335302.15
6363.63
-12.69%-98.10%Liabilities (Total)$14892.74
84270.32
200701.30
12265.11
339965.48
11262.77
-6.27%-96.69%Retained Earnings$4350.42
1725.47
1820.35
4960.90
3558.08
5026.51
4.47%41.27%AOCI$-3.40
-38.61
-30.27
-50.05
-37.50
-42.09
-12.26%Shareholder's Equity$6381.69
5454.56
6281.65
10276.84
8070.99
10468.24
17.21%29.70%Liabilities & Equity$21274.42
89724.87
206982.95
22541.95
348036.48
21731.01
1.95%-93.76%Net Income/Loss$3624.12
-2624.95
94.87
2579.07
1176.24
65.61
-10.72%-94.42%Depreciation & Amortization$63.65
154.07
139.64
127.52
29.33
33.33
26.06%13.66%Increase/Decrease in Working Capital$-6833.30
1031.45
-326.21
478.00
474.00
1126.50
137.66%Share-based Compensation$820.68
1565.82
780.67
912.84
224.50
190.73
3.61%-15.04%Adjustments to Reconcile Net Income$7105.91
1039.53
828.08
-22.22
-764.76
-248.34
67.53%Net Cash (Operating)$10730.03
-1585.42
922.95
2556.84
411.49
-182.73
-38.00%-144.41%Capital Expenditure$156.66
250.04
93.93
Net Cash (Investing)
$-1124.74
-663.82
5.39
-282.38
-125.68
-231.65
-84.32%Increase/Decrease in Debt$3379.76
-5753.63
-630.48
2884.11
1891.96
-818.49
-5.15%-143.26%Increase/Decrease in Equity$237.39
72.34
64.24
126.14
49.68
-19.00%Interest Expenses
$3.79
82.40
76.14
Net Cash (Financing)
$3284.22
-5838.52
-811.33
2828.92
1927.72
-893.80
-4.85%-146.37%Cash Taxes Paid$68.61
35.89
39.12
5.53
Effect of Exchange Rate
$-64.88
-163.26
8.77
-48.37
-21.19
1.66
107.81%Increase/Decrease in Cash$12889.52
-8087.76
117.01
5103.38
2213.53
-1308.18
-26.57%-159.10%Cash (Beginning)$4856.03
17680.66
9429.65
9555.43
9555.45
14610.44
25.31%52.90%Cash (Ending)$17680.66
9429.65
9555.43
14610.44
11747.79
13303.92
-6.16%13.25%NOPAT$3683.53
-3099.00
-522.91
2022.10
757.54
561.59
-18.12%-25.87%Operating Margin %39.24%
-84.85%
-5.20%
35.15%
46.44%
34.70%
NOPAT Margin %46.99%
-97.02%
-16.82%
30.81%
46.26%
27.61%
Net Margin %46.23%
-82.18%
3.05%
39.29%
71.83%
3.23%
Tax Rate %-19.73%
-14.35%
-223.46%
12.36%
0.38%
20.43%
ROA17.31%
-3.45%
-0.25%
8.97%
0.22%
2.58%
ROE57.72%
-56.81%
-8.32%
19.68%
9.39%
5.36%
Equity Multiplier3.33
16.45
32.95
2.19
43.12
2.08
Debt/Equity Ratio0.53
0.62
0.47
0.41
0.52
0.40
Total Payout$-237.39
-72.34
-64.24
-126.14
-49.68
Payout Ratio %
-6.44%
-2.33%
-12.29%
-6.24%
-6.56%