Redfin Corporation

NASDAQ:RDFN

7.87 (USD) • At close January 22, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2023-11-022023-08-032023-05-042023-02-162022-11-092022-08-042022-05-052022-02-172021-11-042021-08-052021-05-052021-02-242020-11-052020-07-302020-05-072020-02-122019-11-062019-08-012019-05-082019-02-142018-11-082018-08-092018-05-102018-02-222017-11-092017-09-082017-03-312016-12-312016-09-302016-06-302016-03-31
Operating Activities:
Net Income -18.972-27.358-60.798-61.946-90.245-78.146-90.806-27.002-18.949-27.878-35.78414.03534.166-6.611-60.117-7.7826.781-12.624-67.18-12.2223.4763.207-36.439-1.79910.5594.304-28.066-5.3355.7021.386-24.279
Depreciation & Amortization 14.29717.13317.01317.46916.29816.32714.81314.60314.28513.6774.3413.9833.7163.5583.3072.8642.5572.1721.6372.3422.2211.8992.0031.851.7871.6341.9051.7611.5971.5031.432
Deferred Income Tax 2,852.16-20.0830000000004.6340.64301.420000000000000-0.0020.0020
Stock Based Compensation 18.817.55419.02816.58518.07116.81316.78815.28413.11113.74412.58311.20911.3487.2057.2118.0227.515.8766.4065.9665.4984.7784.1963.0732.7082.6392.6812.5232.1561.9141.82
Change In Working Capital -6.8748.20288.3293,287.47-3,066.91-145.345119.85698.144-218.265-160.357-32.4-31.72-11.58842.24423.19918.002-16.926-80.60720.092-14.444-4.554-13.5299.338-7.154-3.95213.6081.469-1.7712.684-4.171.732
Accounts Receivables 13.831-20.8076.73841.463-10.261-24.10317.31222.338-7.175-29.6157.303-13.634-6.903-12.361-2.598-3.8613.534-18.24619.346-16.3427.8210000000000
Inventory 010.644103.588186.95876.287-132.031112.73476.923-186.141-151.632-48.213-24.165-15.55661.2123.94130.87-19.806-47.348-15.6122.467-10.6420000000000
Accounts Payables -2.6354.487-1.675-0.597-7.839-3.9129.8762.443-15.159.8195.9471.235-0.1890.5260.514-0.973-0.771-13.49814.848-0.085-1.2320.9051.029-1.4790.3263.813-2.912-1.221.526-0.0520.384
Other Working Capital -18.0713.878-108.6513,059.65-3,125.0914.701-20.066-3.56-9.79911.0712.5634.84411.06-7.13321.342-8.0340.117-1.5151.51-0.484-0.501-14.4348.309-5.675-4.2789.7954.381-0.5511.158-4.1181.348
Other Non Cash Items -2,756.87-33.267-36.868-3,070.63,142.79-57.1518.3511.5249.335-2.0590.4957.5914.5065.797-18.4693.92211.049-11.269-8.1122.464-1.208-2.1040.41-1.166-0.18-0.545000.002-0.0020
Operating Cash Flow 102.543-37.81926.704188.9820.011-247.50179.001112.553-200.483-162.873-50.7659.73242.79152.193-43.44925.02810.971-96.452-47.157-15.8945.433-5.749-20.492-5.19610.92221.64-22.011-2.82212.1390.633-19.295
Investing Activities:
Investments In Property Plant And Equipment -3.022-3.294-2.919-4.035-5.365-4.689-7.442-6.917-6.995-8.295-5.285-4.295-4.319-2.666-3.406-2.712-3.317-6.353-3.151-2.775-1.483-1.74-2.305-1.614-1.064-4.654-4.781-8.451-2.456-1.725-0.935
Acquisitions Net 00000-97.341000000000-70.212000000000000000
Purchases Of Investments 0-19.31-57.556-37.193-63.089-4.588-77.596-16.997-24.4-37-67.877-63.054-46.394-55.457-33.267-30.202-35.75100-20000.001-0.0010.26-1.2520-0.1-0.393-1.251
Sales Maturities Of Investments 59.58263.98560.49737.99946.6320.52511.84610.4712.611118.7963.58966.38445.82110.32933.20529.9815.8050000001.2570.245-0.0121.25100.10.3931.251
Other Investing Activites 000000000-6080000070.2120-70.2120000000000000
Investing Cash Flow 56.5641.3810.022-3.229-21.824-86.093-73.192-13.444-18.784-534.505-9.573-0.965-4.892-47.794-3.468-2.933-33.263-76.565-3.151-4.775-1.483-1.74-2.305-0.356-0.82-4.406-4.782-8.451-2.456-1.725-0.935
Financing Activities:
Debt Repayment -1,031.5-1,099.74-858.254-1,219.17-1,678.11-1,558.64-383.072-432.426-378.584-326.945-262.975-321.713-192.762-191.035-117.438-109.214-137.669-87.109-38.097-30.094-23.955-17.152-9.924-3.832-2.495000000
Common Stock Issued 000.14311.528001.88722.772003.41139.801000-10.869000-17.314110.5130000000000
Common Stock Repurchased 0000000000098.3970000000000000000000
Dividends Paid 00000000000-736.4770000000000000000000
Other Financing Activities 878.3621,065.09741.553860.4461,675.461,651.75305.826391.583447.418468.961717.1261,469.07182.369316.375147.644126.214119.952113.23655.43946.196158.78334.38921.965.791150.6190.767-1.0280.2760.6070.120.342
Financing Cash Flow -153.135-34.654-116.558-347.192-2.64993.106-75.359-18.07168.834142.016457.562549.074-10.393125.3430.2066.131-17.71726.12717.342-1.212245.34117.23712.0361.959148.1240.767-1.0280.2760.6070.120.342
Other Information:
Effect Of Forex Changes On Cash -0.0150-0.058-0.029-0.023-0.038-0.004-0.003-0.003-0.0010.0010.0130.0060.003-0.0250.004-0.010.038000003.8150000000
Net Change In Cash 5.953-31.092-89.89-161.47-4.485-240.526-69.55481.035-150.436-555.363397.225557.85427.512129.742-16.73628.23-40.019-146.852-32.966-21.881249.2919.748-10.7610.222158.22618.001-27.821-10.99710.29-0.972-19.888
Cash At End Of Period 127.217121.264152.356242.246403.716408.201648.727718.281637.246787.6821,343.05945.82387.966360.454230.712247.448219.218259.237406.089439.055460.936211.645201.897212.658212.43654.2136.20964.0375.02764.73765.709