US Stock MarketDetailed Quotes

RIOT Riot Platforms

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  • 11.550
  • +0.360+3.22%
Close Dec 20 16:00 ET
  • 11.670
  • +0.120+1.04%
Post 19:59 ET
3.84BMarket Cap77.00P/E (TTM)

Riot Platforms Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(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
Assets
Current assets
Cash, cash equivalents and short term investments
23.51%545.84M
48.52%638.79M
145.78%688.5M
167.36%908.35M
167.36%908.35M
15.60%441.93M
7.77%430.11M
-10.33%280.12M
-28.28%339.75M
-28.28%339.75M
-Cash and cash equivalents
22.61%355.71M
66.39%481.17M
335.01%688.5M
159.27%597.17M
159.27%597.17M
13.78%290.11M
6.91%289.18M
39.35%158.27M
-26.25%230.33M
-26.25%230.33M
-Short-term investments
25.23%190.13M
11.84%157.62M
--0
184.39%311.18M
184.39%311.18M
19.25%151.83M
9.59%140.93M
-38.72%121.85M
-32.20%109.42M
-32.20%109.42M
Receivables
-12.73%30.72M
-13.28%27.96M
-18.34%27.4M
-14.16%40.07M
-14.16%40.07M
8.28%35.2M
7.95%32.24M
23.92%33.56M
84.78%46.68M
84.78%46.68M
-Accounts receivable
21.01%15.35M
3.79%13.68M
-28.49%14.19M
-8.27%24.71M
-8.27%24.71M
-27.05%12.68M
-18.08%13.18M
23.83%19.84M
74.91%26.93M
74.91%26.93M
-Other receivables
-31.74%15.37M
-25.09%14.28M
-3.65%13.22M
-22.21%15.36M
-22.21%15.36M
48.91%22.51M
38.35%19.06M
24.05%13.72M
100.19%19.74M
100.19%19.74M
Restricted cash
--72.67M
----
----
----
----
----
----
--29.5M
----
----
Other current assets
-14.87%30.64M
52.27%30.65M
51.08%33.59M
-10.88%29.11M
-10.88%29.11M
--35.99M
--20.13M
--22.23M
357.76%32.66M
357.76%32.66M
Total current assets
39.63%716.87M
54.08%743.82M
114.70%785.1M
127.47%1.01B
127.47%1.01B
7.65%513.39M
-2.76%482.75M
-16.84%365.68M
-21.47%443.38M
-21.47%443.38M
Non current assets
Net PPE
68.35%1.3B
47.30%1.05B
14.29%833.09M
1.45%714.29M
1.45%714.29M
16.68%772.26M
68.91%713.33M
110.21%728.92M
143.06%704.06M
143.06%704.06M
-Gross PPE
65.55%1.77B
54.25%1.47B
34.60%1.22B
29.95%1.07B
29.95%1.07B
43.96%1.07B
98.59%955.07M
132.38%908.88M
158.09%826.24M
158.09%826.24M
-Accumulated depreciation
-58.24%-468.08M
-74.77%-422.49M
-116.88%-390.3M
-194.19%-359.44M
-194.19%-359.44M
-269.61%-295.81M
-312.52%-241.74M
-305.63%-179.96M
-301.02%-122.18M
-301.02%-122.18M
Goodwill and other intangible assets
377.10%115.87M
-11.69%23.1M
-18.86%24.53M
-17.77%26.02M
-17.77%26.02M
5.11%24.29M
11.49%26.16M
-91.67%30.24M
-90.95%31.64M
-90.95%31.64M
-Goodwill
--96.76M
----
----
----
----
----
----
----
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-Other intangible assets
-21.31%19.11M
-11.69%23.1M
-18.86%24.53M
-17.77%26.02M
-17.77%26.02M
5.11%24.29M
11.49%26.16M
120.33%30.24M
123.42%31.64M
123.42%31.64M
Investments and advances
--660.35M
--585.05M
--605.6M
----
----
----
----
----
----
----
Financial assets
-16.63%91.21M
0.60%106.1M
-3.17%89.43M
-24.52%74.08M
-24.52%74.08M
-3.13%109.41M
-19.30%105.47M
32.39%92.36M
90.46%98.14M
90.46%98.14M
Non current prepaid assets
-16.82%25.31M
563.36%201.75M
712.04%261.52M
406.70%215.01M
406.70%215.01M
-82.96%30.42M
-91.62%30.41M
-90.25%32.21M
-84.06%42.43M
-84.06%42.43M
Other non current assets
123.68%12.57M
1,497.55%13.04M
1,197.94%11.98M
4,132.58%13.12M
4,132.58%13.12M
1,712.90%5.62M
163.23%816K
197.74%923K
0.00%310K
0.00%310K
Total non current assets
134.12%2.21B
125.95%1.98B
106.43%1.83B
18.93%1.04B
18.93%1.04B
-3.56%942M
-6.77%876.18M
-20.31%884.64M
-8.44%876.58M
-8.44%876.58M
Total assets
100.79%2.92B
100.42%2.72B
108.85%2.61B
55.39%2.05B
55.39%2.05B
0.12%1.46B
-5.38%1.36B
-19.32%1.25B
-13.27%1.32B
-13.27%1.32B
Liabilities
Current liabilities
Payables
40.62%12.51M
-59.63%5.09M
-31.40%13.5M
25.55%23.16M
25.55%23.16M
-29.74%8.9M
-32.75%12.62M
74.68%19.69M
-7.95%18.45M
-7.95%18.45M
-accounts payable
40.62%12.51M
-59.63%5.09M
-31.40%13.5M
25.55%23.16M
25.55%23.16M
-29.74%8.9M
-32.75%12.62M
74.68%19.69M
-7.95%18.45M
-7.95%18.45M
Current accrued expenses
93.17%31.61M
118.73%45.53M
-52.02%37.44M
-16.07%47.74M
-16.07%47.74M
-51.48%16.36M
53.92%20.82M
465.44%78.04M
248.33%56.88M
248.33%56.88M
Current debt and capital lease obligation
107.20%4.95M
28.98%3.02M
117.61%2.88M
20.51%2.42M
20.51%2.42M
40.55%2.39M
54.35%2.34M
-12.21%1.32M
69.97%2.01M
69.97%2.01M
-Current debt
--657K
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----
----
----
----
----
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-Current capital lease obligation
79.69%4.29M
28.98%3.02M
117.61%2.88M
20.51%2.42M
20.51%2.42M
40.55%2.39M
54.35%2.34M
-12.21%1.32M
69.97%2.01M
69.97%2.01M
Current deferred liabilities
8.65%37.33M
9.56%34.83M
296.47%32.2M
187.24%32.54M
187.24%32.54M
149.26%34.36M
251.70%31.79M
5.33%8.12M
39.73%11.33M
39.73%11.33M
Other current liabilities
9,525.46%26.09M
----
----
-98.88%271K
-98.88%271K
-99.32%271K
-99.50%271K
-99.66%271K
-58.45%24.3M
-58.45%24.3M
Current liabilities
77.50%126.23M
30.89%97.3M
-17.33%92.65M
-0.43%121.02M
-0.43%121.02M
-33.57%71.12M
-26.09%74.33M
-3.54%112.07M
10.62%121.54M
10.62%121.54M
Non current liabilities
Long term debt and capital lease obligation
33.99%26.15M
2.39%19.98M
-1.10%20.77M
-6.51%18.92M
-6.51%18.92M
-4.85%19.52M
-2.29%19.51M
3.20%21M
65.15%20.24M
65.15%20.24M
-Long term debt
--5.6M
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----
----
----
----
----
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-Long term capital lease obligation
5.30%20.55M
2.39%19.98M
-1.10%20.77M
-6.51%18.92M
-6.51%18.92M
-4.85%19.52M
-2.29%19.51M
3.20%21M
65.15%20.24M
65.15%20.24M
Non current deferred liabilities
-13.32%14.16M
-12.70%14.71M
-12.11%15.26M
-11.57%15.8M
-11.57%15.8M
-11.07%16.33M
-10.60%16.85M
-10.16%17.37M
-9.73%17.87M
-9.73%17.87M
Derivative product liabilities
----
-7.68%589K
-7.68%589K
0.00%638K
0.00%638K
--638K
--638K
--638K
-97.49%638K
-97.49%638K
Other non current liabilities
-4.94%6.73M
-2.81%6.5M
-7.46%6.57M
-18.83%6.68M
-18.83%6.68M
-14.86%7.08M
-19.17%6.69M
14.21%7.1M
31.87%8.23M
31.87%8.23M
Total non current liabilities
7.97%47.04M
-4.37%41.78M
-6.32%43.19M
-10.51%42.04M
-10.51%42.04M
-7.68%43.57M
-7.23%43.69M
0.46%46.1M
-26.30%46.98M
-26.30%46.98M
Total liabilities
51.08%173.27M
17.84%139.07M
-14.12%135.84M
-3.24%163.06M
-3.24%163.06M
-25.65%114.68M
-20.07%118.02M
-2.41%158.17M
-2.94%168.52M
-2.94%168.52M
Shareholders'equity
Share capital
60.65%3.58B
56.54%3.26B
60.88%3.06B
40.88%2.69B
40.88%2.69B
17.70%2.23B
12.04%2.08B
19.77%1.9B
19.60%1.91B
19.60%1.91B
-common stock
60.65%3.58B
56.54%3.26B
60.88%3.06B
40.88%2.69B
40.88%2.69B
17.70%2.23B
12.04%2.08B
19.77%1.9B
19.60%1.91B
19.60%1.91B
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
6.57%-826.85M
19.91%-672.49M
27.58%-588.04M
-5.75%-799.82M
-5.75%-799.82M
-49.60%-885.04M
-47.70%-839.72M
-301.58%-812.03M
-206.47%-756.34M
-206.47%-756.34M
Gains losses not affecting retained earnings
--189K
---19K
--9K
--150K
--150K
----
----
----
--0
--0
Total stockholders'equity
105.04%2.75B
108.28%2.58B
126.66%2.48B
63.97%1.89B
63.97%1.89B
3.18%1.34B
-3.70%1.24B
-21.30%1.09B
-14.60%1.15B
-14.60%1.15B
Total equity
105.04%2.75B
108.28%2.58B
126.66%2.48B
63.97%1.89B
63.97%1.89B
3.18%1.34B
-3.70%1.24B
-21.30%1.09B
-14.60%1.15B
-14.60%1.15B
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 with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(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
Assets
Current assets
Cash, cash equivalents and short term investments 23.51%545.84M48.52%638.79M145.78%688.5M167.36%908.35M167.36%908.35M15.60%441.93M7.77%430.11M-10.33%280.12M-28.28%339.75M-28.28%339.75M
-Cash and cash equivalents 22.61%355.71M66.39%481.17M335.01%688.5M159.27%597.17M159.27%597.17M13.78%290.11M6.91%289.18M39.35%158.27M-26.25%230.33M-26.25%230.33M
-Short-term investments 25.23%190.13M11.84%157.62M--0184.39%311.18M184.39%311.18M19.25%151.83M9.59%140.93M-38.72%121.85M-32.20%109.42M-32.20%109.42M
Receivables -12.73%30.72M-13.28%27.96M-18.34%27.4M-14.16%40.07M-14.16%40.07M8.28%35.2M7.95%32.24M23.92%33.56M84.78%46.68M84.78%46.68M
-Accounts receivable 21.01%15.35M3.79%13.68M-28.49%14.19M-8.27%24.71M-8.27%24.71M-27.05%12.68M-18.08%13.18M23.83%19.84M74.91%26.93M74.91%26.93M
-Other receivables -31.74%15.37M-25.09%14.28M-3.65%13.22M-22.21%15.36M-22.21%15.36M48.91%22.51M38.35%19.06M24.05%13.72M100.19%19.74M100.19%19.74M
Restricted cash --72.67M--------------------------29.5M--------
Other current assets -14.87%30.64M52.27%30.65M51.08%33.59M-10.88%29.11M-10.88%29.11M--35.99M--20.13M--22.23M357.76%32.66M357.76%32.66M
Total current assets 39.63%716.87M54.08%743.82M114.70%785.1M127.47%1.01B127.47%1.01B7.65%513.39M-2.76%482.75M-16.84%365.68M-21.47%443.38M-21.47%443.38M
Non current assets
Net PPE 68.35%1.3B47.30%1.05B14.29%833.09M1.45%714.29M1.45%714.29M16.68%772.26M68.91%713.33M110.21%728.92M143.06%704.06M143.06%704.06M
-Gross PPE 65.55%1.77B54.25%1.47B34.60%1.22B29.95%1.07B29.95%1.07B43.96%1.07B98.59%955.07M132.38%908.88M158.09%826.24M158.09%826.24M
-Accumulated depreciation -58.24%-468.08M-74.77%-422.49M-116.88%-390.3M-194.19%-359.44M-194.19%-359.44M-269.61%-295.81M-312.52%-241.74M-305.63%-179.96M-301.02%-122.18M-301.02%-122.18M
Goodwill and other intangible assets 377.10%115.87M-11.69%23.1M-18.86%24.53M-17.77%26.02M-17.77%26.02M5.11%24.29M11.49%26.16M-91.67%30.24M-90.95%31.64M-90.95%31.64M
-Goodwill --96.76M------------------------------------
-Other intangible assets -21.31%19.11M-11.69%23.1M-18.86%24.53M-17.77%26.02M-17.77%26.02M5.11%24.29M11.49%26.16M120.33%30.24M123.42%31.64M123.42%31.64M
Investments and advances --660.35M--585.05M--605.6M----------------------------
Financial assets -16.63%91.21M0.60%106.1M-3.17%89.43M-24.52%74.08M-24.52%74.08M-3.13%109.41M-19.30%105.47M32.39%92.36M90.46%98.14M90.46%98.14M
Non current prepaid assets -16.82%25.31M563.36%201.75M712.04%261.52M406.70%215.01M406.70%215.01M-82.96%30.42M-91.62%30.41M-90.25%32.21M-84.06%42.43M-84.06%42.43M
Other non current assets 123.68%12.57M1,497.55%13.04M1,197.94%11.98M4,132.58%13.12M4,132.58%13.12M1,712.90%5.62M163.23%816K197.74%923K0.00%310K0.00%310K
Total non current assets 134.12%2.21B125.95%1.98B106.43%1.83B18.93%1.04B18.93%1.04B-3.56%942M-6.77%876.18M-20.31%884.64M-8.44%876.58M-8.44%876.58M
Total assets 100.79%2.92B100.42%2.72B108.85%2.61B55.39%2.05B55.39%2.05B0.12%1.46B-5.38%1.36B-19.32%1.25B-13.27%1.32B-13.27%1.32B
Liabilities
Current liabilities
Payables 40.62%12.51M-59.63%5.09M-31.40%13.5M25.55%23.16M25.55%23.16M-29.74%8.9M-32.75%12.62M74.68%19.69M-7.95%18.45M-7.95%18.45M
-accounts payable 40.62%12.51M-59.63%5.09M-31.40%13.5M25.55%23.16M25.55%23.16M-29.74%8.9M-32.75%12.62M74.68%19.69M-7.95%18.45M-7.95%18.45M
Current accrued expenses 93.17%31.61M118.73%45.53M-52.02%37.44M-16.07%47.74M-16.07%47.74M-51.48%16.36M53.92%20.82M465.44%78.04M248.33%56.88M248.33%56.88M
Current debt and capital lease obligation 107.20%4.95M28.98%3.02M117.61%2.88M20.51%2.42M20.51%2.42M40.55%2.39M54.35%2.34M-12.21%1.32M69.97%2.01M69.97%2.01M
-Current debt --657K------------------------------------
-Current capital lease obligation 79.69%4.29M28.98%3.02M117.61%2.88M20.51%2.42M20.51%2.42M40.55%2.39M54.35%2.34M-12.21%1.32M69.97%2.01M69.97%2.01M
Current deferred liabilities 8.65%37.33M9.56%34.83M296.47%32.2M187.24%32.54M187.24%32.54M149.26%34.36M251.70%31.79M5.33%8.12M39.73%11.33M39.73%11.33M
Other current liabilities 9,525.46%26.09M---------98.88%271K-98.88%271K-99.32%271K-99.50%271K-99.66%271K-58.45%24.3M-58.45%24.3M
Current liabilities 77.50%126.23M30.89%97.3M-17.33%92.65M-0.43%121.02M-0.43%121.02M-33.57%71.12M-26.09%74.33M-3.54%112.07M10.62%121.54M10.62%121.54M
Non current liabilities
Long term debt and capital lease obligation 33.99%26.15M2.39%19.98M-1.10%20.77M-6.51%18.92M-6.51%18.92M-4.85%19.52M-2.29%19.51M3.20%21M65.15%20.24M65.15%20.24M
-Long term debt --5.6M------------------------------------
-Long term capital lease obligation 5.30%20.55M2.39%19.98M-1.10%20.77M-6.51%18.92M-6.51%18.92M-4.85%19.52M-2.29%19.51M3.20%21M65.15%20.24M65.15%20.24M
Non current deferred liabilities -13.32%14.16M-12.70%14.71M-12.11%15.26M-11.57%15.8M-11.57%15.8M-11.07%16.33M-10.60%16.85M-10.16%17.37M-9.73%17.87M-9.73%17.87M
Derivative product liabilities -----7.68%589K-7.68%589K0.00%638K0.00%638K--638K--638K--638K-97.49%638K-97.49%638K
Other non current liabilities -4.94%6.73M-2.81%6.5M-7.46%6.57M-18.83%6.68M-18.83%6.68M-14.86%7.08M-19.17%6.69M14.21%7.1M31.87%8.23M31.87%8.23M
Total non current liabilities 7.97%47.04M-4.37%41.78M-6.32%43.19M-10.51%42.04M-10.51%42.04M-7.68%43.57M-7.23%43.69M0.46%46.1M-26.30%46.98M-26.30%46.98M
Total liabilities 51.08%173.27M17.84%139.07M-14.12%135.84M-3.24%163.06M-3.24%163.06M-25.65%114.68M-20.07%118.02M-2.41%158.17M-2.94%168.52M-2.94%168.52M
Shareholders'equity
Share capital 60.65%3.58B56.54%3.26B60.88%3.06B40.88%2.69B40.88%2.69B17.70%2.23B12.04%2.08B19.77%1.9B19.60%1.91B19.60%1.91B
-common stock 60.65%3.58B56.54%3.26B60.88%3.06B40.88%2.69B40.88%2.69B17.70%2.23B12.04%2.08B19.77%1.9B19.60%1.91B19.60%1.91B
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings 6.57%-826.85M19.91%-672.49M27.58%-588.04M-5.75%-799.82M-5.75%-799.82M-49.60%-885.04M-47.70%-839.72M-301.58%-812.03M-206.47%-756.34M-206.47%-756.34M
Gains losses not affecting retained earnings --189K---19K--9K--150K--150K--------------0--0
Total stockholders'equity 105.04%2.75B108.28%2.58B126.66%2.48B63.97%1.89B63.97%1.89B3.18%1.34B-3.70%1.24B-21.30%1.09B-14.60%1.15B-14.60%1.15B
Total equity 105.04%2.75B108.28%2.58B126.66%2.48B63.97%1.89B63.97%1.89B3.18%1.34B-3.70%1.24B-21.30%1.09B-14.60%1.15B-14.60%1.15B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes--
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