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RSI Rush Street Interactive

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  • 12.320
  • -0.040-0.32%
Trading Apr 30 15:06 ET
1.16BMarket Cap410.67P/E (TTM)

Rush Street Interactive Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities
1,894.49%106.45M
3,031.32%25.9M
-3.16%29.44M
256.92%20.21M
227.32%30.91M
90.17%-5.93M
110.74%827K
251.76%30.4M
46.91%-12.88M
34.40%-24.28M
Net income from continuing operations
112.05%7.24M
218.94%6.49M
124.23%3.24M
98.31%-282K
90.98%-2.21M
55.29%-60.06M
82.44%-5.46M
41.01%-13.37M
40.97%-16.73M
53.13%-24.5M
Depreciation and amortization
8.21%32.2M
19.19%9.08M
0.83%8.47M
-5.42%7.56M
23.39%7.1M
107.74%29.76M
78.80%7.62M
108.00%8.4M
142.80%7.99M
110.27%5.76M
Deferred tax
43.92%-143K
-16.84%-347K
2,380.95%1.04M
---141K
---697K
-410.00%-255K
-230.00%-297K
800.00%42K
--0
--0
Other non cash items
27.83%891K
15.79%220K
8.56%203K
72.33%274K
20.50%194K
13.15%697K
-10.38%190K
14.72%187K
--159K
--161K
Change In working capital
556.78%30.97M
120.17%1.75M
-71.07%8.02M
126.20%3.11M
229.43%18.09M
-116.77%-6.78M
-170.97%-8.65M
20.47%27.73M
-257.40%-11.88M
-263.60%-13.98M
-Change in receivables
237.98%10.45M
38.74%-4.41M
-211.18%-2.01M
503.53%6.98M
-3.17%9.89M
123.61%3.09M
63.78%-7.2M
-66.62%1.81M
-131.99%-1.73M
353.19%10.21M
-Change in prepaid assets
-3,305.70%-7.77M
-51,450.00%-2.06M
-110.96%-207K
-76.55%473K
-44.56%-5.97M
93.61%-228K
95.60%-4K
742.86%1.89M
266.83%2.02M
-65.76%-4.13M
-Change in payables and accrued expense
379.72%25.92M
-33.91%4.27M
-15.91%9.91M
59.04%-3.39M
178.61%15.13M
-123.92%-9.27M
-72.25%6.46M
-18.67%11.79M
-70.75%-8.27M
-431.62%-19.24M
-Change in other current assets
----
----
----
----
-95.12%6K
----
----
----
----
-7.52%123K
-Change in other current liabilities
728.65%2.37M
149.88%3.95M
-97.35%325K
63.22%-1.37M
46.61%-536K
-102.05%-377K
-197.55%-7.91M
290.59%12.25M
-57.91%-3.71M
-110.62%-1M
-Change in other working capital
----
----
----
----
-769.84%-422K
----
----
----
----
119.50%63K
Cash from discontinued investing activities
Operating cash flow
1,894.49%106.45M
3,031.32%25.9M
-3.16%29.44M
256.92%20.21M
227.32%30.91M
90.17%-5.93M
110.74%827K
251.76%30.4M
46.91%-12.88M
34.40%-24.28M
Investing cash flow
Cash flow from continuing investing activities
1.23%-33.36M
7.48%-7.15M
-5.14%-7.3M
9.03%-11.51M
-14.63%-7.41M
-16.52%-33.78M
13.29%-7.73M
31.74%-6.94M
-93.34%-12.65M
-91.79%-6.47M
Net PPE purchase and sale
28.35%-925K
39.15%-171K
51.94%-124K
-8.98%-352K
35.20%-278K
68.94%-1.29M
79.73%-281K
74.25%-258K
55.39%-323K
58.95%-429K
Net intangibles purchase and sale
4.67%-28.5M
7.93%-4.9M
-15.97%-7.75M
24.29%-9.1M
-14.98%-6.75M
-23.83%-29.9M
29.24%-5.32M
33.29%-6.68M
-181.07%-12.02M
-152.21%-5.87M
Net investment purchase and sale
-1.97%-1.86M
--0
--0
---1.73M
---128K
-165.02%-1.83M
---1.36M
---470K
--0
--0
Net other investing changes
-171.24%-2.08M
----
----
-5.32%-317K
-53.25%-259K
---765K
----
----
---301K
---169K
Cash from discontinued investing activities
Investing cash flow
1.23%-33.36M
7.48%-7.15M
-5.14%-7.3M
9.03%-11.51M
-14.63%-7.41M
-16.52%-33.78M
13.29%-7.73M
31.74%-6.94M
-93.34%-12.65M
-91.79%-6.47M
Financing cash flow
Cash flow from continuing financing activities
-411.97%-2.65M
-1,277.62%-1.97M
-77.34%-227K
-22.42%-273K
-658.33%-182K
57.40%-518K
80.62%-143K
-456.52%-128K
-869.57%-223K
94.44%-24K
Net issuance payments of debt
-200.97%-1.56M
-466.43%-810K
-129.69%-294K
-22.42%-273K
-658.33%-182K
57.40%-518K
80.62%-143K
-456.52%-128K
-869.57%-223K
94.44%-24K
Proceeds from stock option exercised by employees
--67K
--0
----
----
----
--0
--0
----
----
----
Net other financing activities
---1.16M
----
----
----
----
----
----
----
----
----
Cash from discontinued financing activities
Financing cash flow
-411.97%-2.65M
-1,277.62%-1.97M
-77.34%-227K
-22.42%-273K
-658.33%-182K
57.40%-518K
80.62%-143K
-456.52%-128K
-869.57%-223K
94.44%-24K
Net cash flow
Beginning cash position
-17.03%170.98M
25.08%220.36M
31.32%198.85M
10.66%194.32M
-17.03%170.98M
-31.38%206.08M
-21.82%176.17M
-33.67%151.43M
-32.72%175.6M
-31.38%206.08M
Current changes in cash
275.08%70.43M
338.26%16.78M
-6.07%21.91M
132.74%8.43M
175.77%23.31M
55.56%-40.23M
59.40%-7.04M
1,607.04%23.33M
16.46%-25.75M
24.61%-30.77M
Effect of exchange rate changes
-268.85%-8.66M
-336.81%-4.38M
-128.84%-407K
-346.08%-3.89M
-90.81%26K
237.76%5.13M
196.66%1.85M
199.51%1.41M
184.15%1.58M
-81.02%283K
End cash Position
36.13%232.76M
36.13%232.76M
25.08%220.36M
31.32%198.85M
10.66%194.32M
-17.03%170.98M
-17.03%170.98M
-21.82%176.17M
-33.67%151.43M
-32.72%175.6M
Free cash flow
307.49%77.02M
535.81%20.82M
-8.07%21.56M
142.63%10.76M
178.11%23.88M
58.11%-37.12M
71.23%-4.78M
1,087.25%23.46M
13.78%-25.23M
24.28%-30.57M
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
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(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
Operating Cash Flow (Indirect Method)
Cash flow from continuing operating activities 1,894.49%106.45M3,031.32%25.9M-3.16%29.44M256.92%20.21M227.32%30.91M90.17%-5.93M110.74%827K251.76%30.4M46.91%-12.88M34.40%-24.28M
Net income from continuing operations 112.05%7.24M218.94%6.49M124.23%3.24M98.31%-282K90.98%-2.21M55.29%-60.06M82.44%-5.46M41.01%-13.37M40.97%-16.73M53.13%-24.5M
Depreciation and amortization 8.21%32.2M19.19%9.08M0.83%8.47M-5.42%7.56M23.39%7.1M107.74%29.76M78.80%7.62M108.00%8.4M142.80%7.99M110.27%5.76M
Deferred tax 43.92%-143K-16.84%-347K2,380.95%1.04M---141K---697K-410.00%-255K-230.00%-297K800.00%42K--0--0
Other non cash items 27.83%891K15.79%220K8.56%203K72.33%274K20.50%194K13.15%697K-10.38%190K14.72%187K--159K--161K
Change In working capital 556.78%30.97M120.17%1.75M-71.07%8.02M126.20%3.11M229.43%18.09M-116.77%-6.78M-170.97%-8.65M20.47%27.73M-257.40%-11.88M-263.60%-13.98M
-Change in receivables 237.98%10.45M38.74%-4.41M-211.18%-2.01M503.53%6.98M-3.17%9.89M123.61%3.09M63.78%-7.2M-66.62%1.81M-131.99%-1.73M353.19%10.21M
-Change in prepaid assets -3,305.70%-7.77M-51,450.00%-2.06M-110.96%-207K-76.55%473K-44.56%-5.97M93.61%-228K95.60%-4K742.86%1.89M266.83%2.02M-65.76%-4.13M
-Change in payables and accrued expense 379.72%25.92M-33.91%4.27M-15.91%9.91M59.04%-3.39M178.61%15.13M-123.92%-9.27M-72.25%6.46M-18.67%11.79M-70.75%-8.27M-431.62%-19.24M
-Change in other current assets -----------------95.12%6K-----------------7.52%123K
-Change in other current liabilities 728.65%2.37M149.88%3.95M-97.35%325K63.22%-1.37M46.61%-536K-102.05%-377K-197.55%-7.91M290.59%12.25M-57.91%-3.71M-110.62%-1M
-Change in other working capital -----------------769.84%-422K----------------119.50%63K
Cash from discontinued investing activities
Operating cash flow 1,894.49%106.45M3,031.32%25.9M-3.16%29.44M256.92%20.21M227.32%30.91M90.17%-5.93M110.74%827K251.76%30.4M46.91%-12.88M34.40%-24.28M
Investing cash flow
Cash flow from continuing investing activities 1.23%-33.36M7.48%-7.15M-5.14%-7.3M9.03%-11.51M-14.63%-7.41M-16.52%-33.78M13.29%-7.73M31.74%-6.94M-93.34%-12.65M-91.79%-6.47M
Net PPE purchase and sale 28.35%-925K39.15%-171K51.94%-124K-8.98%-352K35.20%-278K68.94%-1.29M79.73%-281K74.25%-258K55.39%-323K58.95%-429K
Net intangibles purchase and sale 4.67%-28.5M7.93%-4.9M-15.97%-7.75M24.29%-9.1M-14.98%-6.75M-23.83%-29.9M29.24%-5.32M33.29%-6.68M-181.07%-12.02M-152.21%-5.87M
Net investment purchase and sale -1.97%-1.86M--0--0---1.73M---128K-165.02%-1.83M---1.36M---470K--0--0
Net other investing changes -171.24%-2.08M---------5.32%-317K-53.25%-259K---765K-----------301K---169K
Cash from discontinued investing activities
Investing cash flow 1.23%-33.36M7.48%-7.15M-5.14%-7.3M9.03%-11.51M-14.63%-7.41M-16.52%-33.78M13.29%-7.73M31.74%-6.94M-93.34%-12.65M-91.79%-6.47M
Financing cash flow
Cash flow from continuing financing activities -411.97%-2.65M-1,277.62%-1.97M-77.34%-227K-22.42%-273K-658.33%-182K57.40%-518K80.62%-143K-456.52%-128K-869.57%-223K94.44%-24K
Net issuance payments of debt -200.97%-1.56M-466.43%-810K-129.69%-294K-22.42%-273K-658.33%-182K57.40%-518K80.62%-143K-456.52%-128K-869.57%-223K94.44%-24K
Proceeds from stock option exercised by employees --67K--0--------------0--0------------
Net other financing activities ---1.16M------------------------------------
Cash from discontinued financing activities
Financing cash flow -411.97%-2.65M-1,277.62%-1.97M-77.34%-227K-22.42%-273K-658.33%-182K57.40%-518K80.62%-143K-456.52%-128K-869.57%-223K94.44%-24K
Net cash flow
Beginning cash position -17.03%170.98M25.08%220.36M31.32%198.85M10.66%194.32M-17.03%170.98M-31.38%206.08M-21.82%176.17M-33.67%151.43M-32.72%175.6M-31.38%206.08M
Current changes in cash 275.08%70.43M338.26%16.78M-6.07%21.91M132.74%8.43M175.77%23.31M55.56%-40.23M59.40%-7.04M1,607.04%23.33M16.46%-25.75M24.61%-30.77M
Effect of exchange rate changes -268.85%-8.66M-336.81%-4.38M-128.84%-407K-346.08%-3.89M-90.81%26K237.76%5.13M196.66%1.85M199.51%1.41M184.15%1.58M-81.02%283K
End cash Position 36.13%232.76M36.13%232.76M25.08%220.36M31.32%198.85M10.66%194.32M-17.03%170.98M-17.03%170.98M-21.82%176.17M-33.67%151.43M-32.72%175.6M
Free cash flow 307.49%77.02M535.81%20.82M-8.07%21.56M142.63%10.76M178.11%23.88M58.11%-37.12M71.23%-4.78M1,087.25%23.46M13.78%-25.23M24.28%-30.57M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--------Unqualified Opinion--------

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