Riot Platforms Financial Ratios for Analysis 2009-2024 | RIOT

Fifteen years of historical annual and quarterly financial ratios and margins for Riot Platforms (RIOT).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
202320222021202020192018201720162015201420132012201120102009
8.333.655.1498.573.750.3540.7413.039.1613.976.563.072.094.514.41
-----0.27--0.100.080.140.070.43-0.17
-----0.380.000.010.130.100.190.291.020.020.22
9.3925.2661.5048.2610.8225.8190.66100.0084.5672.7984.9499.0594.2018.36-40.69
-22.46-197.82-14.01-128.66-137.74-756.74-4,876.88-5,369.62-4,416.62-3,960.74-8,602.85-14,424.51-3,897.81-3,066.32-3,080.31
-22.46-197.82-14.01-128.66-137.74-756.74-4,876.88-5,369.62-4,416.62-3,960.74-8,602.85-14,424.51-3,897.81-3,066.32-3,080.31
67.41-156.21-1.71-89.23-103.80-675.70-2,820.86-5,373.11-4,337.30-3,887.24-8,430.90-13,765.14-3,745.70-2,969.70-3,045.79
-19.44-201.14-7.12-116.77-299.05-777.67-6,688.86-3,265.62-4,421.09-3,975.99-8,635.18-14,827.80-3,627.07-3,040.82-3,073.89
-17.63-196.61-7.24-116.83-293.10-739.43-7,359.67-4,418.70-4,421.09-3,975.99-8,635.18-14,827.80-3,627.07-3,040.82-3,073.89
0.140.200.140.040.230.570.010.010.010.010.010.000.030.030.03
--------------2.09
11.369.6213.85---------8.045.9910.53
32.1337.9326.36---------45.3960.8934.68
-2.62-44.25-1.14-5.09-77.45-1,363.84-39.22-21.16-54.49-44.09-93.81-86.17-266.97-118.58-121.10
-2.64-45.09-1.55-5.10-78.77-1,836.45-34.82-22.58-54.49-44.09-93.81-86.17-266.97-118.58-121.10
-2.41-38.60-1.01-5.04-66.83-435.13-31.39-18.53-41.98-36.36-65.18-55.45-117.03-77.73-80.08
-2.62-44.25-1.14-5.09-77.39-974.77-33.10-21.16-48.90-40.66-80.45-80.43-153.45-118.58-100.31
8.186.8611.553.531.050.314.273.314.156.114.838.5919.0367.2482.06
0.190.00-0.92-0.07-0.79-1.42-0.74-1.36-1.77-2.57-4.59-8.79-49.71-65.33-82.20
-0.88-1.06-2.50-0.26-1.04-2.93-0.74-0.91-1.77-2.57-4.60-8.86-50.25-66.50-83.97

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
5.687.658.478.337.226.493.263.654.454.943.785.147.005.9137.1698.5732.2112.936.533.755.344.830.130.350.851.442.9040.7415.0914.1114.1613.0313.2535.5525.579.1617.3721.6621.9913.9715.2418.757.836.567.439.892.973.072.495.731.262.091.612.793.684.515.827.103.484.413.395.136.04
0.00--0.00-------------------0.240.27-----------0.100.090.090.080.080.070.070.150.140.120.110.080.070.080.18-0.43----0.160.140.210.170.220.180.15
0.00--0.00-------------------1.100.380.100.040.020.000.01-0.000.010.01-0.000.130.120.100.100.100.090.080.190.190.160.130.320.290.390.300.461.020.120.020.020.020.200.170.280.220.310.230.19
13.9823.3940.6019.47-22.9116.6513.815.187.8033.7142.8160.5260.4861.9767.5260.2747.1225.8541.03-30.1715.1735.63-2.87-11.4514.1547.0962.2987.22100.00100.00100.00100.00100.00100.00100.0091.1682.1283.3783.1673.6579.51100.0057.4010072.70100.00100.0097.65100.0099.9697.4799.2799.0596.2488.85-1.84-53.0555.3258.53-73.3480.46-96.44-18.44
-143.32-167.1625743.53-159.08-41.9423.72-270.08-77.50-484.2448.70-30.76-6.40-14.9131.7155.59-85.58-616.37-184.74-244.67-108.85-55.53-224.97-545.01-272.86-854.96-2,100.25-5,309.18-2,442.61-4,409.80-4,253.03-5,928.24-6,241.69-3,606.13-5,702.33-6,689.03-1,957.37-4,096.08-9,197.21-2,283.15-4,207.86-10,758.22-3,876.67-13,367.11-3,950.84-14,747.06-15,123.42-14,445.79-22,382.37-8,248.94-25,762.22-4,589.67-7,500.46-3,757.46-2,409.79-3,011.74-3,081.25-4,456.23-2,425.58-2,197.34-4,470.55-4,408.28-2,808.57
-143.32-167.1625743.53-159.08-41.9423.72-270.08-77.50-484.2448.70-30.76-6.40-14.9131.7155.59-85.58-616.37-184.74-244.67-108.85-55.53-224.97-545.01-272.86-854.96-2,100.25-5,309.18-2,442.61-4,409.80-4,253.03-5,928.24-6,241.69-3,606.13-5,702.33-6,689.03-1,957.37-4,096.08-9,197.21-2,283.15-4,207.86-10,758.22-3,876.67-13,367.11-3,950.84-14,747.06-15,123.42-14,445.79-22,382.37-8,248.94-25,762.22-4,589.67-7,500.46-3,757.46-2,409.79-3,011.74-3,081.25-4,456.23-2,425.58-2,197.34-4,470.55-4,408.28-2,808.57
---------------------------------------------------------------
-182.02-120.5326749.95-154.55-35.5418.49-271.08-76.45-493.1846.24-33.49-23.6767.1632.4646.82-69.74-545.31-179.25-298.58-105.40-51.84-961.54-560.28-275.78-891.79-2,130.02-5,393.94-22,059.96-4,401.28-4,164.57-5,819.42-6,099.74-3,457.742,314-6,696.66-1,948.08-4,175.79-9,090.64-2,299.12-4,189.42-10,720.27-3,935.29-13,602.99-3,949.92-14,798.90-15,021.01-14,832.95-22,927.18-8,478.98-26,642.90-2,922.56-7,630.58-3,813.61-2,438.14-2,816.09-3,106.44-4,502.49-2,448.42-2,210.91-4,495.81-4,350.29-2,772.49
-182.06-120.6126750.05-154.25-35.6925.28-266.24-70.07-484.6845.84-29.66-23.6756.3032.4646.68-69.74-545.31-179.25-283.08-105.40-51.84-946.08-648.37-263.24-859.96-1,766.52-4,503.69-21,932.05-5,426.37-18,009.41-9,453.52-7,077.91-3,457.742,314-6,722.34-1,948.08-4,175.79-9,043.94-2,299.13-4,189.42-10,720.27-3,935.29-13,602.99-3,949.92-14,798.90-15,021.01-14,832.95-22,927.19-8,478.98-26,642.90-2,922.56-7,630.58-3,813.61-2,438.14-2,816.09-3,106.44-4,502.49-2,448.42-2,210.91-4,495.81-4,350.29-2,772.49
0.030.030.030.040.040.060.060.050.030.050.050.060.070.040.060.020.040.070.060.040.050.080.090.130.090.100.020.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.000.010.000.010.010.010.010.000.010.010.010.000.00
------------------------------------------------------2.89-1.070.120.221.200.020.260.17
5.525.12-3.194.095.823.692.232.664.534.985.9017.841,272------------------1.12-----------1.39---3.311.081.041.5214.663.571.691.452.503.434.074.892.514.941.54
16.2917.58-28.2122.0015.4624.3840.3033.8019.8518.0715.255.040.07------------------80.07-----------64.88---27.1683.2486.4559.156.1425.2253.2161.9935.9626.2222.1018.4035.9218.2058.32
-5.62-3.278.562.09-5.97-2.211.70-13.91-2.50-27.442.64-2.00-1.992.712.050.89-2.83-38.11-12.88-13.12-6.51-4.90156-286.90-40.85-144.30-43.50-21.55-49.99-9.66-8.83-9.43-8.65-5.223.35-18.32-8.38-10.04-10.02-10.01-9.77-9.17-24.59-24.17-19.36-16.90-33.47-23.42-28.08-21.06-91.88-40.70-84.84-44.04-31.79-26.60-22.24-21.06-39.87-40.48-41.45-30.43-17.46
-5.85-3.288.602.11-6.05-2.241.73-14.17-2.52-27.733.57-2.70-3.675.422.050.90-2.85-38.68-13.05-13.35-6.79-5.13138-386.32-50.75-139.98-41.61-19.13-34.48-9.66-8.83-10.06-9.99-5.223.35-18.32-8.38-10.04-10.02-10.01-9.77-9.17-24.59-24.17-19.36-16.90-33.47-23.42-28.08-21.06-91.88-40.70-84.84-44.04-31.79-26.60-22.24-21.06-39.87-40.48-41.45-30.43-17.46
-5.28-3.108.111.92-5.50-2.021.48-12.13-2.23-24.622.36-1.77-1.612.132.000.88-2.74-35.46-11.54-11.32-5.56-4.13-89.02-91.53-25.39-86.05-33.60-17.24-30.74-8.24-7.56-8.26-7.63-4.753.03-14.11-6.86-8.36-8.41-8.25-8.16-7.80-17.21-16.79-14.10-13.05-20.61-15.07-16.60-14.88-30.44-17.84-30.74-23.18-19.21-17.44-15.70-15.63-23.92-26.77-24.38-20.49-12.46
-5.60-3.278.562.09-5.97-2.211.70-13.91-2.50-27.442.64-2.00-1.992.712.050.89-2.83-38.08-12.87-13.11-6.51-4.89194-205.05-39.48-118.22-38.54-18.18-34.48-9.66-8.83-9.43-8.65-5.223.35-16.44-7.62-9.17-9.20-9.23-9.05-8.54-20.91-20.73-17.01-15.09-30.73-21.86-25.74-17.31-91.88-23.40-84.84-44.04-31.79-26.60-18.73-18.16-31.38-33.53-32.13-24.98-14.85
8.489.119.248.186.836.816.546.867.778.7111.8311.557.927.444.373.531.240.761.071.051.161.16-0.590.311.161.513.244.272.842.042.533.313.794.134.304.154.885.235.666.116.707.304.244.835.926.946.738.599.0811.3710.5119.0321.5937.8452.7667.2482.0497.1361.8582.0668.6293.03118
-0.55-0.38-0.220.19-0.07-0.030.190.00-0.01-0.11-0.39-0.92-0.63-0.30-0.07-0.07-0.20-0.15-0.09-0.79-0.55-0.51-0.22-1.42-1.12-0.71-0.46-0.74-0.59-0.50-0.36-1.36-0.96-0.66-0.49-1.77-1.35-0.99-0.59-2.57-1.87-1.29-1.05-4.59-2.58-2.36-1.99-8.79-3.73-12.58-8.63-49.71-38.27-25.94-12.87-65.33-51.24-39.48-20.07-82.20-58.00-37.73-16.17
-1.18-0.80-0.44-0.88-0.85-0.68-0.11-1.06-0.85-0.70-0.70-2.50-1.45-0.38-0.10-0.26-0.33-0.19-0.09-1.04-0.55-0.51-0.22-2.93-2.56-2.20-2.00-0.74-0.59-0.50-0.36-0.91-0.51-0.21-0.04-1.77-1.35-0.99-0.59-2.57-1.87-1.29-1.05-4.60-2.59-2.37-2.00-8.86-3.78-12.58-8.63-50.25-38.76-26.32-13.13-66.50-52.31-40.40-20.38-83.97-58.99-38.24-16.37