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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$3.68M+104%$5.92M+135%$8.8M+218%$2.47M-23.7%$1.8M-54.1%
$2.69M+533%$3.68M+981%$1.38M$595K$425.25K
-$52K-108%$52K-73.3%$52K-68.6%$1.09M+883%$631.44K+423%
$6.2M+7,368%$2.01M+1,745%$603K+367%$585K+717%$83.06K-37.1%
$111.83M$103.94M$152.25M
$127.77M+4,082%$121.93M+3,623%$174.41M+5,505%$5.58M+63.1%$3.05M-26.9%
$607K+0.1%$607K0.0%$607K+0.1%$607K+0.1%$606.67K0.0%
$2.67M+707%$3.02M+699%$3.37M+561%$3.73M+715%$330.82K-45.3%
$93K+340%$93K+182%$93K+348%$107K+11.9%$21.15K+16.8%
$630K$0
$1.51M$2.14M$1.38M
$229.72M+5,425%$307.41M+6,925%$479.95M+10,602%$107.23M+2,155%$4.16M-24.3%
$5.54M+3,096%$6.82M+1,906%$5.52M+4,444%$3.25M+1,638%$173.29K-18.3%
$3.22M$6.34M+45,179%$9.31M
$0$107K$267K$427K
$0$107K$267K$427K
$91.74M+8,581%$80.79M+13,524%$85.55M+24,332%$5.14M+1,533%$1.06M+202%
$127.78M$127.47M$131.71M$21.64M
$219.52M+191,544%$67.78M+37,764%$70.45M+39,295%$115K-35.7%$114.55K-35.9%
1B+900%1B100M0.0%100M0.0%100M0.0%
$207.55M+1,497%$202.58M+1,474%$182.49M+1,321%$74.33M+486%$13M+3.4%
-$175.29M-1,627%-$91.77M-879%$61.31M+790%$5.28M+163%-$10.15M-33.4%
-$44K-$27K
$22.02M$11.52M
$10.19M+258%$99.26M+2,734%$243.8M+6,063%$79.61M+1,768%$2.85M-42.6%
$229.72M+5,425%$307.41M+6,925%$479.95M+10,602%$107.23M+2,155%$4.16M-24.3%
$111.83M$103.94M$152.25M
$554K+30.3%$698K+105%$595K$425.25K
$6.2M$2.01M$11.33M
$65.87M$136M$244.27M$89.24M
$112.03M$155.37M$169.34M$66.96M
$630K$0
$93K+340%$93K+182%$93K+348%$107K+11.9%$21.15K+16.8%
$630K$0
$1.22M$1.38M$1.38M
$4.24M$4.24M+613%$4.24M$4.24M
$630K$0
$112.03M$155.37M$169.34M$66.96M
$65.87M$136M$244.27M$89.24M
$65.87M$136M$244.27M$89.24M
$32.71M$45.76M$57.2M$7.89M
$2.67M+707%$3.02M+699%$3.37M+561%$3.73M+715%$330.82K-45.3%
$2.67M$3.02M+699%$3.37M+561%$3.73M+569%
$93K+340%$93K+182%$93K+348%$107K+11.9%$21.15K+16.8%
$2.69M$3.68M+981%$1.38M
$93K+340%$93K+182%$93K+348%$107K+11.9%$21.15K+16.8%
$5.54M+3,096%$6.82M+1,906%$5.52M+4,444%$3.25M+1,638%$173.29K-18.3%
$82.99M$67.52M$70.33M
$0$107K$267K$427K
$3.22M$6.34M+45,179%$9.31M
$83.17M$67.78M$70.33M
$256K+43.0%$115K-35.7%$115K-35.7%$114.55K-35.9%
$127.78M$127.36M$131.44M$28.9M
$0
$0
$6.19M$6.61M$8.9M$7.69M
$127.78M+226,535%$127.58M+915,532%$131.98M$22.11M$56.38K
$0.000.0%$0.000.0%$0.000.0%$0.000.0%$0.000.0%
29.5M+1,962%29.9M+202%27.7M+145%17.4M+57.3%1.4M-87.1%
$0-100%$0$0-100%$14-87.3%
$83.17M$67.78M$70.33M
$256K+43.0%$115K-35.7%$115K-35.7%$114.55K-35.9%
$00.0%$00.0%$00.0%$00.0%$00.0%
$1B+900%$1B+900%$100M0.0%$100M0.0%$100M0.0%
$29.5M+1,962%$29.89M+202%$27.72M+145%$17.4M+57.3%$1.43M-87.1%
$29.5M+1,962%$29.89M+202%$27.72M+151%$17.4M+57.5%$1.43M-87.1%
$127.78M$127.36M$131.44M$21.21M
1.1M1.2K573
$16.33M$36.83M$895K$895K
$49.03M$82.59M$58.1M$8.79M
$32.71M$45.76M$57.2M$7.89M
$6.19M$6.61M$8.9M$7.69M
$0$841K
$3.36M+2,861%$6.38M+5,494%$835K$113.53K
$83.17M$67.78M$70.33M
$630K$0
$406K$1.22M$1.22M
$1.03M$352K$401K
$0
$1.22M$1.38M$1.38M
$1.57M$1.22M+462%$867K$515K
$4.24M$4.24M+613%$4.24M$4.24M
$126.1M$119.5M
$0
$0
$133.97M
$0
$0
$133.97M
$698K
$0-100%$352K$29K$43.67K
$1.03M$352K$401K

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Questions, answered.

What are DeFi Development Corp. Common Stock's total assets?
DeFi Development Corp. Common Stock (DFDV) holds $229.7M in total assets, up 5424.6% year over year.
How much debt does DeFi Development Corp. Common Stock have?
DeFi Development Corp. Common Stock carries $127.8M in total debt against $10.2M of shareholders' equity, a debt-to-equity ratio of 12.53.
How much cash does DeFi Development Corp. Common Stock have?
DeFi Development Corp. Common Stock holds $3.7M in cash and equivalents.
Can DeFi Development Corp. Common Stock cover its short-term obligations?
Its current ratio is 1.39 — current assets exceed current liabilities.
Where does DeFi Development Corp. Common Stock's balance sheet data come from?
Every line is extracted from DeFi Development Corp. Common Stock's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.