Switch to Dark

Pricing

Learn

COIN logo

COIN - Coinbase Global Inc

426


$210.23

$6.91 (3.399%)
At market close

$209.72

-$0.51 (-0.245%)
Pre Market 3/18/26, 11:44 AM
Stock Unlock LogoScore

3.03/5

General
Scores
Financials & KPIs
Dividends
Analyst
Insider
Cash Flow Summary
Metrics
4
KPIs
View as %
Coinbase Global Inc logo

Coinbase Global Inc

Stock Unlock Logo
Stock Unlock
Sign Up
Legend
CAGR
Total Change
Average
Median
Low
High
Latest
Net Common Stock Issued
--
0%
-$711.91M
-$711.91M
-$711.91M
2025-12-31
-$711.91M
2025-12-31
-$711.91M
2025-12-31
Investments In Property, Plant & Equipment
--
27.14%
-$196.96M
-$184.64M
-$310.65M
2025-06-30
-$107.89M
2025-12-31
-$107.89M
2025-12-31
Debt Repayments
-100%
Since 2025
-98.33%
$694.66M
$22.88M
$0.00
2025-03-31
$2.73B
2025-09-30
$45.76M
2025-12-31
Cash From Operating Activities
--
--
$606.60M
$72.87M
-$784.52M
2025-09-30
$3.07B
2025-12-31
$3.07B
2025-12-31
Income Statement
Balance Sheet
Cash Flow
Metrics
KPIs
% Change
Colors
.
#'s in thousands USDAll Time2025-12-312025-09-302025-06-302025-03-312024-12-31
Get more features by creating a free Stock Unlock account:
2 portfolios, 5 positions per portfolio
2 watchlists, up to 10 tickers per watchlist
More screener searches
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-30
Cash From Operating Activities
3,065,151
-784,515
328,474
-182,727
42,069,000
8310366
6138668
2092809
9851139
8527260
8468203
2872801
7047928
7214997
4496466
8346640
1929399
8225691
Net Income
-666,733
432,552
1,428,900
65,608
42,069,000
103634
450554
2553187
8364576
8915113
4347978
2476041
589442
7958884
1958499
6442071
4246032
2846090
Stock Based Compensation
230,482
222,069
196,160
190,729
42,069,000
1832608
9534014
9623357
2516660
2794532
161388
1024058
4060428
8695072
1948346
727786
854496
4814612
Depreciation & Amortization
71,116
50,078
33,901
33,333
42,069,000
8569417
2361570
991394
7771209
6572045
9928885
9788445
7125814
9203826
2527802
4918817
4055431
5837635
Deferred Income Taxes
-248,190
86,527
454,511
-54,540
42,069,000
6950692
5670982
3734365
8789893
3756239
2226663
7259911
5688340
1240555
244472
6604239
7587104
8535412
Change In Working Capital
2,479,439
-1,474,596
90,252
-1,126,502
42,069,000
1207671
919115
7931247
326796
7953972
9604050
2492834
1557872
9580497
2394876
2787650
518845
6208238
Cash Interest Paid
--
--
35,005
--
35,119
9301989
1270630
8177104
6234583
3071084
9278361
2232237
8593293
8749170
4400812
420168
--
--
Cash Taxes Paid
16,869
16,689
95,218
36,092
42,069,000
4905069
1788410
8771156
4507387
2886897
5222289
2115104
689645
4750351
8779268
914689
4483513
5057738
Other Non Cash Items
1,429,519
120,924
-1,679,090
899,374
42,069,000
1381453
1421939
801590
9631742
6223123
8758450
1952469
441383
8822950
6680162
4817726
2119128
5007676
Cash From Investing Activities
-397,167
-735,574
-685,156
-231,653
42,069,000
613049
8313432
4734189
6169954
7681791
9481072
4761560
1837090
2640949
8006053
3380286
2800711
1298555
Investments In Property, Plant & Equipment
-107,890
-221,203
-310,645
-148,083
--
4841183
5319823
8257575
9269488
4411766
7471401
6512610
3223179
5451354
8787595
3670695
7873930
819817
Other Investing Activities
-289,277
-514,371
-374,511
-83,570
42,069,000
9468872
5931061
6659879
9185336
1492685
1901567
9688585
989845
2828255
2578332
402724
7156539
4092258
Cash From Financing Activities
-1,155,814
3,181,035
-391,137
-893,802
42,069,000
7012151
304662
3712069
881386
2312010
921457
5096306
5498523
8789446
7298132
6991089
8302362
128808
Debt Repayments
45,764
2,732,885
0
0
42,069,000
8999488
5474198
3904692
6518970
5594717
1421326
8084742
3122921
1000821
4886852
1775050
6684451
3049152
Net Common Stock Issued
-711,909
--
--
--
45,918
9847971
7828972
6520997
2546309
5859337
9208759
3643613
4344764
3801228
8540286
4196558
1427232
2495860
Net Change In Cash
1,515,152
1,670,969
-669,629
-1,306,527
42,069,000
7876429
3521695
8677184
1616217
3604213
7138134
1963941
3942894
1475079
947032
5812049
6259339
8796442
Free Cash Flow
2,957,261
-1,005,718
17,829
-330,810
42,069,000
5721198
3607971
320980
4112611
1403515
9322031
9020200
2928400
5585636
8143668
5223528
4646245
9156727
Cash From Operating Activities
3,065,151
-784,515
328,474
-182,727
42,069,000
7970713
7283014
616799
6561816
3720794
8418619
4645201
2961653
1562294
847949
8493264
2280444
6049711
Investments In Property, Plant & Equipment
-107,890
-221,203
-310,645
-148,083
--
8006427
455889
9228180
2471269
7672469
6806299
9694543
2132254
3489165
7944798
3124094
9271107
553700
FCF excluding SBC
2,726,779
-1,227,787
-178,331
-521,539
42,069,000
6734314
4456744
8023617
9411267
8274860
8193067
4935921
1696356
1150960
1650985
3083014
8115305
9998283
SBC as % of FCF
7.79%
0.00%
1,100.23%
0.00%
42K%
2099118
4867096
7150911
5568568
4584780
732626
1182484
2656423
6263167
8152171
8169107
3544574
5098300