Recent Annual Filings for COIN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $22,541,951,000 $6,564,028,000 $3,621,384,000 $2,559,285,000 $2,556,844,000 $2,828,921,000 $5,055,013,000
2023 $206,982,953,000 $3,108,383,000 $3,185,228,000 $103,207,000 $922,951,000 $-811,332,000 $125,783,000
2022 $89,724,873,000 $3,194,208,000 $6,258,790,000 $-2,660,160,000 $-1,585,419,000 $-5,838,518,000 $-8,251,016,000
2021 $21,274,425,000 $7,839,444,000 $4,812,497,000 $3,614,469,000 $10,730,031,000 $3,284,225,000 $12,824,633,000