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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$910.69M+91,069,000%$1.25B+170%$1.14B$691.33M$1K
$623.59M$709.07M-15.1%$853.85M$748.29M
$103.19M+517%$34.01M-38.5%$71.95M$41.39M-$24.75M
$87.38M+2,353%$99.73M+271%$78.85M$39.9M$3.56M
$86.23M$83.81M-59.6%$152.58M$134.91M
$6.94B+694,061,300%$8.52B+44.8%$9.06B$7.36B$1K
$1.78B$1.42B+500%$874.06M$596.12M
$66.52M$66.52M+14.6%$62.66M$62.23M
$304.24M$276.28M+158%$195.81M$194.08M
$875.08M$1.02B+26.5%$1.25B$863.65M
$3.05B$2.83B+129%$2.47B$1.73B
$9.99B+999,198,000%$11.35B+59.4%$11.52B$9.09B$1K
$269.98M$277.66M-1.4%$421.36M$226.08M
$122.66M$85.06M+553%$235.16M$88.61M
$11.57M$12.48M+22.0%$11.31M$8.29M
$4.08B$5.31B+36.6%$6.73B$5.47B
$2.63B$2.43B+188%$1.15B$725.57M
$11.57M$12.48M+22.0%$11.31M$8.29M
$447.41M$513.17M+167%$460.09M$256.13M
$3.13B$3B+189%$1.62B$990.27M
$7.21B$8.31B+68.8%$8.35B$6.46B
$0
$1.61B$1.22B$1.17B$5K
$250.77M+6,269,275%$342.92M$540.81M$332.34M-$4K
$201K-$2.04M-$2.61M
$966.91M$1.08B$1.41B$1.12B
$1.81B+181,170,600%$1.96B-10.9%$1.76B$1.51B$1K-50.0%
$9.99B+999,198,000%$11.35B+59.4%$11.52B$9.09B$1K
$173.73M$199.98M-27.8%$714.87M$718.65M
$921.02M$988.62M+175%$322.95M$369.65M
$2.74B$3.53B+38.4%$3.79B$3.19B
$2.8M$3.78M-93.0%$4.59M$2.67M
$86.23M$83.81M-59.6%$152.58M$134.91M
$627.6M$554.45M+16.3%$635.37M$529.02M
$86.23M$83.81M-59.6%$152.58M$134.91M
$664.71M$1.07B+84.6%$1.3B$894.88M
$627.6M$554.45M+16.3%$635.37M$529.02M
$304.24M$276.28M+158%$195.81M$194.08M
$12.94M$26.82M+27.9%$56.5M$3.01M
$5.43M$8.9M
$2.26M$4.72M-33.6%$16.85M$3.4M
$7.05M$2.55M$7.3M$6.68M
$875.08M$1.02B+26.5%$1.25B$863.65M
$304.24M$276.28M+158%$195.81M$194.08M
$623.59M$709.07M-15.1%$853.85M$748.29M
$304.24M$276.28M+158%$195.81M$194.08M
$269.98M$277.66M-1.4%$421.36M$226.08M
$1.55B$1.98B+41.5%$2.55B$1.87B
$1.44B$2.36B+57.7%$3.06B$2.84B
$99.25M$40.48M-75.6%$67.4M$86.36M
$84.54M$52.63M-89.7%$316.92M$348.21M
$432.73M$428.55M
$122.66M$85.06M+553%$235.16M$88.61M
$82.8M$85.81M+340%
$99.25M$40.48M-75.6%$67.4M$86.36M
$432.73M$428.55M
$2.64B$2.44B+186%$1.16B$733.86M
$55.36M$56.11M$9.58M$8.56M
$2.63B$2.43B+188%$1.15B$725.57M
$966.91M$1.08B$1.41B$1.12B

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Questions, answered.

What are Galaxy Digital Inc. Class A Common Stock's total assets?
Galaxy Digital Inc. Class A Common Stock (GLXY) holds $10.0B in total assets, up 999198000.0% year over year.
How much debt does Galaxy Digital Inc. Class A Common Stock have?
Galaxy Digital Inc. Class A Common Stock carries $2.6B in total debt against $1.8B of shareholders' equity, a debt-to-equity ratio of 1.46.
How much cash does Galaxy Digital Inc. Class A Common Stock have?
Galaxy Digital Inc. Class A Common Stock holds $910.7M in cash and equivalents.
Can Galaxy Digital Inc. Class A Common Stock cover its short-term obligations?
Its current ratio is 1.70 — current assets exceed current liabilities.
Where does Galaxy Digital Inc. Class A Common Stock's balance sheet data come from?
Every line is extracted from Galaxy Digital Inc. Class A 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.