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COIN Coinbase

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  • 218.080
  • +4.300+2.01%
Close Apr 18 16:00 ET
  • 218.520
  • +0.440+0.20%
Post 19:55 ET
52.84BMarket Cap589.41P/E (TTM)

Coinbase Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments
8.12%5.72B
8.12%5.72B
2.36%5.5B
-9.29%5.48B
-15.49%5.32B
-26.82%5.29B
-26.82%5.29B
-16.61%5.37B
33.98%6.04B
201.92%6.3B
-Cash and cash equivalents
16.14%5.14B
16.14%5.14B
1.88%5.1B
-9.07%5.17B
-17.95%5.02B
-37.88%4.43B
-37.88%4.43B
-21.19%5.01B
30.14%5.68B
208.39%6.12B
-Short-term investments
-33.11%576.03M
-33.11%576.03M
8.88%400.8M
-12.77%315.51M
68.36%302.85M
760.32%861.15M
760.32%861.15M
299.67%368.12M
149.47%361.71M
76.15%179.89M
Receivables
-8.47%425.44M
-8.47%425.44M
55.28%467.19M
59.72%491.97M
36.13%548.35M
27.02%464.82M
27.02%464.82M
-9.33%300.88M
-50.29%308.02M
92.89%402.82M
-Accounts receivable
-23.63%168.29M
-23.63%168.29M
50.58%92.67M
213.83%231.05M
147.18%216.39M
761.00%220.35M
761.00%220.35M
-23.38%61.54M
11.84%73.62M
-34.69%87.54M
-Loans receivable
5.11%193.43M
5.11%193.43M
134.51%273.45M
35.35%170.55M
-11.29%193.67M
-15.76%184.03M
-15.76%184.03M
6.66%116.6M
31.89%126M
311.57%218.32M
-Accrued interest receivable
----
----
----
----
----
----
----
22.78%79.16M
74.92%61.52M
129.54%60.6M
-Taxes receivable
5.44%63.73M
5.44%63.73M
15.21%69.73M
3.77%64.76M
19.69%67.95M
-1.29%60.44M
-1.29%60.44M
-36.08%60.52M
-85.66%62.41M
--56.77M
-Other receivables
----
----
--53.21M
--38.92M
--84.74M
----
----
----
----
----
-Recievables adjustments allowances
----
----
-28.93%-21.86M
14.33%-13.31M
29.50%-14.39M
----
----
0.15%-16.95M
-29.91%-15.54M
-337.85%-20.42M
Prepaid assets
-18.99%79.55M
-18.99%79.55M
-6.17%88.1M
-40.35%80.73M
-42.61%108.18M
-26.11%98.2M
-26.11%98.2M
-7.68%93.89M
23.55%135.34M
469.63%188.5M
Restricted cash
144.76%197.23B
144.76%197.23B
15.84%117.84B
34.00%128.19B
1,191.82%129.83B
656.73%80.58B
656.73%80.58B
1,031.83%101.73B
963.80%95.66B
58.96%10.05B
Other current assets
-14.05%16.19M
-14.05%16.19M
-89.34%19.53M
37.18%15.27M
1,142.92%31.88M
539.63%18.84M
539.63%18.84M
5,193.47%183.15M
113.63%11.13M
-31.80%2.57M
Total current assets
135.36%203.47B
135.36%203.47B
15.08%123.92B
31.42%134.26B
701.88%135.84B
370.50%86.45B
370.50%86.45B
578.52%107.68B
617.53%102.16B
95.34%16.94B
Non current assets
Net PPE
-14.89%205.29M
-14.89%205.29M
-12.01%217.69M
-10.49%204.26M
34.59%211.71M
53.04%241.21M
53.04%241.21M
53.45%247.39M
44.90%228.18M
-2.38%157.29M
-Gross PPE
-0.06%326.01M
-0.06%326.01M
-12.01%217.69M
-10.49%204.26M
34.59%211.71M
63.23%326.23M
63.23%326.23M
53.45%247.39M
44.90%228.18M
-2.38%157.29M
-Accumulated depreciation
-42.01%-120.73M
-42.01%-120.73M
----
----
----
-101.24%-85.02M
-101.24%-85.02M
----
----
----
Goodwill and other intangible assets
1.39%1.23B
1.39%1.23B
-33.58%1.23B
-1.24%1.25B
-2.30%1.27B
50.71%1.21B
50.71%1.21B
161.93%1.86B
103.40%1.26B
126.20%1.3B
-Goodwill
6.12%1.14B
6.12%1.14B
6.12%1.14B
6.12%1.14B
5.51%1.14B
71.62%1.07B
71.62%1.07B
89.26%1.07B
114.24%1.07B
124.39%1.08B
-Other intangible assets
-36.19%86.42M
-36.19%86.42M
-87.90%94.94M
-42.94%108.13M
-40.81%129.69M
-23.35%135.43M
-23.35%135.43M
451.92%784.74M
58.07%189.51M
135.54%219.13M
Investments and advances
5.58%792.97M
5.58%792.97M
127.72%813.06M
125.17%790.13M
106.64%828.86M
-44.45%751.08M
-44.45%751.08M
27.11%357.04M
419.08%350.91M
1,014.94%401.12M
Non current deferred assets
21.54%1.27B
21.54%1.27B
8.99%1.11B
23.94%1.13B
51.69%1.14B
82.51%1.05B
82.51%1.05B
72.78%1.01B
730.34%909.56M
4,540.28%750.57M
Non current prepaid assets
47.88%16.25M
47.88%16.25M
16.09%12.24M
-7.26%11.52M
-25.74%9.45M
-17.67%10.99M
-17.67%10.99M
-10.44%10.54M
17.82%12.43M
-85.78%12.73M
Other non current assets
-79.20%3.59M
-79.20%3.59M
6,707.32%2.79M
-98.60%7.57M
----
1,079.56%17.26M
1,079.56%17.26M
-100.00%41K
-7.57%541.51M
104.73%1.33B
Total non current assets
7.32%3.52B
7.32%3.52B
-2.92%3.39B
2.50%3.39B
-12.56%3.46B
12.97%3.28B
12.97%3.28B
34.97%3.49B
112.99%3.31B
158.71%3.95B
Total assets
130.69%206.98B
130.69%206.98B
14.52%127.31B
30.51%137.65B
566.67%139.3B
321.75%89.72B
321.75%89.72B
502.40%111.17B
567.93%105.47B
104.83%20.9B
Liabilities
Current liabilities
Payables
-1.33%171.79M
-1.33%171.79M
-16.92%111.16M
-28.68%94.99M
-8.01%95.81M
48.54%174.1M
48.54%174.1M
102.94%133.79M
64.18%133.19M
-61.86%104.14M
-accounts payable
-29.89%39.29M
-29.89%39.29M
-40.27%36.74M
-31.32%27.98M
87.30%23.69M
40.69%56.04M
40.69%56.04M
109.07%61.51M
13.24%40.75M
-20.23%12.65M
-Total tax payable
213.81%17.37M
213.81%17.37M
72.61%14.66M
-70.58%2.84M
42.35%5.43M
21.55%5.53M
21.55%5.53M
79.33%8.5M
167.15%9.65M
-98.44%3.82M
-Other payable
2.32%115.13M
2.32%115.13M
-6.32%59.75M
-22.50%64.17M
-23.95%66.68M
54.51%112.52M
54.51%112.52M
100.77%63.78M
99.37%82.8M
580.56%87.68M
Current accrued expenses
63.27%314.55M
63.27%314.55M
33.13%299.96M
-46.43%195.24M
-50.16%202.87M
-43.69%192.66M
-43.69%192.66M
0.34%225.31M
96.44%364.45M
303.32%407.04M
Current debt and capital lease obligation
-79.91%10.9M
-79.91%10.9M
-64.17%12.02M
-64.39%12.35M
-92.98%12.78M
3.48%54.25M
3.48%54.25M
5.28%33.54M
12.11%34.68M
513.28%182.11M
-Current debt
----
----
----
----
----
2.29%20.52M
2.29%20.52M
--512K
--504K
--149.43M
-Current capital lease obligation
-67.68%10.9M
-67.68%10.9M
-63.62%12.02M
-63.86%12.35M
-60.92%12.78M
4.23%33.73M
4.23%33.73M
3.68%33.03M
10.48%34.17M
10.08%32.69M
Current deferred liabilities
145.70%197.15B
145.70%197.15B
16.06%117.77B
34.09%128.09B
1,231.46%129.72B
665.63%80.24B
665.63%80.24B
1,052.03%101.47B
965.12%95.53B
56.54%9.74B
Other current liabilities
-58.43%62.98M
-58.43%62.98M
-47.89%109.26M
5.83%144.5M
-65.44%167.82M
-64.49%151.51M
-64.49%151.51M
-56.75%209.68M
-66.81%136.55M
-22.76%485.56M
Current liabilities
144.65%197.71B
144.65%197.71B
15.90%118.3B
33.62%128.54B
1,092.13%130.2B
607.72%80.82B
607.72%80.82B
961.59%102.07B
893.99%96.19B
50.52%10.92B
Non current liabilities
Long term debt and capital lease obligation
-13.15%2.98B
-13.15%2.98B
-10.44%3.08B
-3.06%3.34B
-1.34%3.41B
-0.68%3.44B
-0.68%3.44B
-0.65%3.44B
131.55%3.45B
3,801.19%3.45B
-Long term debt
-12.18%2.98B
-12.18%2.98B
-9.28%3.08B
-1.62%3.33B
0.26%3.4B
0.26%3.39B
0.26%3.39B
0.27%3.39B
140.88%3.39B
--3.39B
-Long term capital lease obligation
-90.91%3.82M
-90.91%3.82M
-88.66%5.69M
-85.48%8.61M
-83.00%11.29M
-43.24%42.04M
-43.24%42.04M
-38.52%50.17M
-27.92%59.32M
-24.96%66.43M
Preferred securities outside stock equity
--0
--0
----
----
----
--0
--0
----
----
----
Other non current liabilities
-82.62%3.4M
-82.62%3.4M
-87.67%3.4M
16.74%14.25M
-28.35%17.19M
31.72%19.53M
31.72%19.53M
85.76%27.55M
--12.21M
--23.99M
Total non current liabilities
-13.54%2.99B
-13.54%2.99B
-11.05%3.09B
-2.99%3.36B
-1.53%3.42B
-0.54%3.46B
-0.54%3.46B
-0.28%3.47B
132.37%3.46B
442.85%3.48B
Total liabilities
138.16%200.7B
138.16%200.7B
15.01%121.38B
32.35%131.9B
828.02%133.63B
465.85%84.27B
465.85%84.27B
706.05%105.54B
792.42%99.65B
82.34%14.4B
Shareholders'equity
Share capital
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
--2K
-common stock
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
0.00%2K
--2K
Retained earnings
5.50%1.82B
5.50%1.82B
-32.23%1.55B
-45.20%1.55B
-58.00%1.65B
-60.34%1.73B
-60.34%1.73B
-34.98%2.28B
-8.92%2.83B
161.77%3.92B
Paid-in capital
19.21%4.49B
19.21%4.49B
30.71%4.42B
41.10%4.24B
57.29%4.06B
85.18%3.77B
85.18%3.77B
82.65%3.38B
98.11%3B
220.59%2.58B
Gains losses not affecting retained earnings
21.59%-30.27M
21.59%-30.27M
-20.88%-44.11M
-85.84%-33.79M
-630.31%-28.41M
-1,037.14%-38.61M
-1,037.14%-38.61M
-8,347.45%-36.49M
-755.48%-18.18M
-283.66%-3.89M
Total stockholders'equity
15.16%6.28B
15.16%6.28B
5.24%5.92B
-1.01%5.75B
-12.64%5.67B
-14.53%5.45B
-14.53%5.45B
4.96%5.63B
25.74%5.81B
181.90%6.5B
Total equity
15.16%6.28B
15.16%6.28B
5.24%5.92B
-1.01%5.75B
-12.64%5.67B
-14.53%5.45B
-14.53%5.45B
4.96%5.63B
25.74%5.81B
181.90%6.5B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Assets
Current assets
Cash, cash equivalents and short term investments 8.12%5.72B8.12%5.72B2.36%5.5B-9.29%5.48B-15.49%5.32B-26.82%5.29B-26.82%5.29B-16.61%5.37B33.98%6.04B201.92%6.3B
-Cash and cash equivalents 16.14%5.14B16.14%5.14B1.88%5.1B-9.07%5.17B-17.95%5.02B-37.88%4.43B-37.88%4.43B-21.19%5.01B30.14%5.68B208.39%6.12B
-Short-term investments -33.11%576.03M-33.11%576.03M8.88%400.8M-12.77%315.51M68.36%302.85M760.32%861.15M760.32%861.15M299.67%368.12M149.47%361.71M76.15%179.89M
Receivables -8.47%425.44M-8.47%425.44M55.28%467.19M59.72%491.97M36.13%548.35M27.02%464.82M27.02%464.82M-9.33%300.88M-50.29%308.02M92.89%402.82M
-Accounts receivable -23.63%168.29M-23.63%168.29M50.58%92.67M213.83%231.05M147.18%216.39M761.00%220.35M761.00%220.35M-23.38%61.54M11.84%73.62M-34.69%87.54M
-Loans receivable 5.11%193.43M5.11%193.43M134.51%273.45M35.35%170.55M-11.29%193.67M-15.76%184.03M-15.76%184.03M6.66%116.6M31.89%126M311.57%218.32M
-Accrued interest receivable ----------------------------22.78%79.16M74.92%61.52M129.54%60.6M
-Taxes receivable 5.44%63.73M5.44%63.73M15.21%69.73M3.77%64.76M19.69%67.95M-1.29%60.44M-1.29%60.44M-36.08%60.52M-85.66%62.41M--56.77M
-Other receivables ----------53.21M--38.92M--84.74M--------------------
-Recievables adjustments allowances ---------28.93%-21.86M14.33%-13.31M29.50%-14.39M--------0.15%-16.95M-29.91%-15.54M-337.85%-20.42M
Prepaid assets -18.99%79.55M-18.99%79.55M-6.17%88.1M-40.35%80.73M-42.61%108.18M-26.11%98.2M-26.11%98.2M-7.68%93.89M23.55%135.34M469.63%188.5M
Restricted cash 144.76%197.23B144.76%197.23B15.84%117.84B34.00%128.19B1,191.82%129.83B656.73%80.58B656.73%80.58B1,031.83%101.73B963.80%95.66B58.96%10.05B
Other current assets -14.05%16.19M-14.05%16.19M-89.34%19.53M37.18%15.27M1,142.92%31.88M539.63%18.84M539.63%18.84M5,193.47%183.15M113.63%11.13M-31.80%2.57M
Total current assets 135.36%203.47B135.36%203.47B15.08%123.92B31.42%134.26B701.88%135.84B370.50%86.45B370.50%86.45B578.52%107.68B617.53%102.16B95.34%16.94B
Non current assets
Net PPE -14.89%205.29M-14.89%205.29M-12.01%217.69M-10.49%204.26M34.59%211.71M53.04%241.21M53.04%241.21M53.45%247.39M44.90%228.18M-2.38%157.29M
-Gross PPE -0.06%326.01M-0.06%326.01M-12.01%217.69M-10.49%204.26M34.59%211.71M63.23%326.23M63.23%326.23M53.45%247.39M44.90%228.18M-2.38%157.29M
-Accumulated depreciation -42.01%-120.73M-42.01%-120.73M-------------101.24%-85.02M-101.24%-85.02M------------
Goodwill and other intangible assets 1.39%1.23B1.39%1.23B-33.58%1.23B-1.24%1.25B-2.30%1.27B50.71%1.21B50.71%1.21B161.93%1.86B103.40%1.26B126.20%1.3B
-Goodwill 6.12%1.14B6.12%1.14B6.12%1.14B6.12%1.14B5.51%1.14B71.62%1.07B71.62%1.07B89.26%1.07B114.24%1.07B124.39%1.08B
-Other intangible assets -36.19%86.42M-36.19%86.42M-87.90%94.94M-42.94%108.13M-40.81%129.69M-23.35%135.43M-23.35%135.43M451.92%784.74M58.07%189.51M135.54%219.13M
Investments and advances 5.58%792.97M5.58%792.97M127.72%813.06M125.17%790.13M106.64%828.86M-44.45%751.08M-44.45%751.08M27.11%357.04M419.08%350.91M1,014.94%401.12M
Non current deferred assets 21.54%1.27B21.54%1.27B8.99%1.11B23.94%1.13B51.69%1.14B82.51%1.05B82.51%1.05B72.78%1.01B730.34%909.56M4,540.28%750.57M
Non current prepaid assets 47.88%16.25M47.88%16.25M16.09%12.24M-7.26%11.52M-25.74%9.45M-17.67%10.99M-17.67%10.99M-10.44%10.54M17.82%12.43M-85.78%12.73M
Other non current assets -79.20%3.59M-79.20%3.59M6,707.32%2.79M-98.60%7.57M----1,079.56%17.26M1,079.56%17.26M-100.00%41K-7.57%541.51M104.73%1.33B
Total non current assets 7.32%3.52B7.32%3.52B-2.92%3.39B2.50%3.39B-12.56%3.46B12.97%3.28B12.97%3.28B34.97%3.49B112.99%3.31B158.71%3.95B
Total assets 130.69%206.98B130.69%206.98B14.52%127.31B30.51%137.65B566.67%139.3B321.75%89.72B321.75%89.72B502.40%111.17B567.93%105.47B104.83%20.9B
Liabilities
Current liabilities
Payables -1.33%171.79M-1.33%171.79M-16.92%111.16M-28.68%94.99M-8.01%95.81M48.54%174.1M48.54%174.1M102.94%133.79M64.18%133.19M-61.86%104.14M
-accounts payable -29.89%39.29M-29.89%39.29M-40.27%36.74M-31.32%27.98M87.30%23.69M40.69%56.04M40.69%56.04M109.07%61.51M13.24%40.75M-20.23%12.65M
-Total tax payable 213.81%17.37M213.81%17.37M72.61%14.66M-70.58%2.84M42.35%5.43M21.55%5.53M21.55%5.53M79.33%8.5M167.15%9.65M-98.44%3.82M
-Other payable 2.32%115.13M2.32%115.13M-6.32%59.75M-22.50%64.17M-23.95%66.68M54.51%112.52M54.51%112.52M100.77%63.78M99.37%82.8M580.56%87.68M
Current accrued expenses 63.27%314.55M63.27%314.55M33.13%299.96M-46.43%195.24M-50.16%202.87M-43.69%192.66M-43.69%192.66M0.34%225.31M96.44%364.45M303.32%407.04M
Current debt and capital lease obligation -79.91%10.9M-79.91%10.9M-64.17%12.02M-64.39%12.35M-92.98%12.78M3.48%54.25M3.48%54.25M5.28%33.54M12.11%34.68M513.28%182.11M
-Current debt --------------------2.29%20.52M2.29%20.52M--512K--504K--149.43M
-Current capital lease obligation -67.68%10.9M-67.68%10.9M-63.62%12.02M-63.86%12.35M-60.92%12.78M4.23%33.73M4.23%33.73M3.68%33.03M10.48%34.17M10.08%32.69M
Current deferred liabilities 145.70%197.15B145.70%197.15B16.06%117.77B34.09%128.09B1,231.46%129.72B665.63%80.24B665.63%80.24B1,052.03%101.47B965.12%95.53B56.54%9.74B
Other current liabilities -58.43%62.98M-58.43%62.98M-47.89%109.26M5.83%144.5M-65.44%167.82M-64.49%151.51M-64.49%151.51M-56.75%209.68M-66.81%136.55M-22.76%485.56M
Current liabilities 144.65%197.71B144.65%197.71B15.90%118.3B33.62%128.54B1,092.13%130.2B607.72%80.82B607.72%80.82B961.59%102.07B893.99%96.19B50.52%10.92B
Non current liabilities
Long term debt and capital lease obligation -13.15%2.98B-13.15%2.98B-10.44%3.08B-3.06%3.34B-1.34%3.41B-0.68%3.44B-0.68%3.44B-0.65%3.44B131.55%3.45B3,801.19%3.45B
-Long term debt -12.18%2.98B-12.18%2.98B-9.28%3.08B-1.62%3.33B0.26%3.4B0.26%3.39B0.26%3.39B0.27%3.39B140.88%3.39B--3.39B
-Long term capital lease obligation -90.91%3.82M-90.91%3.82M-88.66%5.69M-85.48%8.61M-83.00%11.29M-43.24%42.04M-43.24%42.04M-38.52%50.17M-27.92%59.32M-24.96%66.43M
Preferred securities outside stock equity --0--0--------------0--0------------
Other non current liabilities -82.62%3.4M-82.62%3.4M-87.67%3.4M16.74%14.25M-28.35%17.19M31.72%19.53M31.72%19.53M85.76%27.55M--12.21M--23.99M
Total non current liabilities -13.54%2.99B-13.54%2.99B-11.05%3.09B-2.99%3.36B-1.53%3.42B-0.54%3.46B-0.54%3.46B-0.28%3.47B132.37%3.46B442.85%3.48B
Total liabilities 138.16%200.7B138.16%200.7B15.01%121.38B32.35%131.9B828.02%133.63B465.85%84.27B465.85%84.27B706.05%105.54B792.42%99.65B82.34%14.4B
Shareholders'equity
Share capital 0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K--2K
-common stock 0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K0.00%2K--2K
Retained earnings 5.50%1.82B5.50%1.82B-32.23%1.55B-45.20%1.55B-58.00%1.65B-60.34%1.73B-60.34%1.73B-34.98%2.28B-8.92%2.83B161.77%3.92B
Paid-in capital 19.21%4.49B19.21%4.49B30.71%4.42B41.10%4.24B57.29%4.06B85.18%3.77B85.18%3.77B82.65%3.38B98.11%3B220.59%2.58B
Gains losses not affecting retained earnings 21.59%-30.27M21.59%-30.27M-20.88%-44.11M-85.84%-33.79M-630.31%-28.41M-1,037.14%-38.61M-1,037.14%-38.61M-8,347.45%-36.49M-755.48%-18.18M-283.66%-3.89M
Total stockholders'equity 15.16%6.28B15.16%6.28B5.24%5.92B-1.01%5.75B-12.64%5.67B-14.53%5.45B-14.53%5.45B4.96%5.63B25.74%5.81B181.90%6.5B
Total equity 15.16%6.28B15.16%6.28B5.24%5.92B-1.01%5.75B-12.64%5.67B-14.53%5.45B-14.53%5.45B4.96%5.63B25.74%5.81B181.90%6.5B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------

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