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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
-$216.31M+26.8%-$481.67M-510%$505.06M+1,615%$30.69M+124%-$295.43M-29,543,100%
$5.84M-53.7%$6.6M-50.8%$7.4M-43.1%$7.46M-31.9%$12.61M+32.8%
$18.38M+33.8%$15.14M-24.0%$10.89M-39.3%$13.85M$13.74M
-$5.66M+20.9%$99.05M+1,593%-$21.8M-$7.15M
$0-100%$38.03M$49.22M
$72.56M+393%-$36.64M-264%$31.7M-$24.75M
-$14.21M+5.7%$37.2M-$15.07M
$11.36M$45.99M$140.4M$0$0
-$65.76M-88.9%$51.04M-61.9%$218.21M+5,509%$875K-$34.82M
-$996K-533%-$1.45M-210%$210K$230K
$41.63M-94.7%$22.29M-95.6%$1.23B+675%$607.42M$781.64M
-$83.35M-152%-$1.07B-184%$427.66M+981%$169.88M-23.2%$159.41M+15,941,400%
$337.88M+269%$558.03M+2,054%$238.05M+6,939%$304.82M$91.64M
$0-100%$3.39M+359%$7.95M+977%
$17.49M-97.3%$104.9M-77.3%$1.26B+473%$640.12M$645.33M
$257.25M+389%$350.93M+181%$172.62M+132%$74.81M$52.59M
-$429.51M-770%-$580.11M-806%-$367.89M-557%-$406.68M$64.1M
$3.35M-89.7%$340.96M$91M-28.1%$44.95M$32.47M
$3.6M+60.0%$328.7M+11,686%$45.49M+11,446%$474.74M$2.25M
$177.31M+201%$1.76B+179%$386.33M+519%$418.69M-$176.18M
-$335.55M-809%$108.81M-42.8%$446.1M+1,161%$181.89M+7,161%$47.34M+4,733,600%
$2.09M-80.8%$17.45M-43.2%$8.69M+289%$16.25M$10.93M
$6.73M+191%$602K-46.1%$284K$2.61M$2.31M
$15.58M-38.5%$25.45M-7.5%$43.1M+142%$35.39M$25.33M
$132.93M+171%$107.82M+124%$63.79M+123%$36.3M$49.07M
$41.63M-94.7%$22.29M-95.6%$1.23B+675%$607.42M$781.64M
$4.68B-15.5%$3.71B-33.1%$9.28B+235%$1.99B$5.54B
$1.65M+106%-$1.56M-$4.6M-111%-$24.69M-$25.58M
-$135.84M+31.4%-$423.96M-1,007%-$407.19M-963%-$198.15M-417%
$0+100%-$2K+80.0%-$41.53M
-$166.25M-386%-$207.75M-311%-$26.17M-23.4%-$54.87M-$34.2M
$70.45M+6.9%$132.08M$65.91M
-$65.76M-88.9%$51.04M-61.9%$218.21M+5,509%$875K-$34.82M
-$12.35M-447%$20.88M+557%$38.95M$10.01M$3.56M
$52.1M$0
$17.58M+24.9%$4.82M+60.1%$14.28M+101%$2.51M$14.07M
$16.63M-52.3%$25.67M$39.48M-37.5%$27.15M$34.84M
$4.64B-16.4%$3.44B-37.1%$9.25B+217%$1.97B$5.55B
-$171.78M-243%-$816.98M-477%-$395.09M$120.33M
$0$0$0$0
$0-100%$38.03M$49.22M
-$996K-533%-$1.45M-210%$210K$230K
$0-100%$0+100%$0+100%-$125.15M-4,764%$89.61M+1,023%
$17.49M-97.3%$104.9M-77.3%$1.26B+473%$640.12M$645.33M
$141.49M+121%$418.23M+772%$65.47M-22.4%$6.65M$64.07M
$0-100%$3.39M+359%$7.95M+977%
$79.99M+2,333%$4.08M-31.1%$18.43M+2,278%$25.6M$3.29M
$0-100%$0$9.43M-1.6%$30.45M$9.44M
$3.6M+60.0%$45.49M+11,446%$474.74M$2.25M
$55.55M+24,045%-$16.16M-146%-$2.96M-$232K
$29.1M+115%-$133.07M-140%-$18.34M-$194.92M
$166.24M$1.68B+333%$0
$3.35M-89.7%$340.96M$91M-28.1%$44.95M$32.47M
$21.76M+2,790%$0-100%$85.99M+214,865%$34.7M+86,648%$753K+1,783%
$26.42M-88.6%$210.8M+2,144%$231.22M+2,361%
$430.82M+0.1%$681.45M+126%$88.33M$430.57M
$408.67M+36.4%$404.82M+203%$18.13M$299.71M
$919.96M+241%$219.83M+2.9%$1.08B$269.45M
$58.56M$0
$0-100%$1.37M
$8.77M-6.2%$76.97M+15,293%$225.12M+11,156%$62.9M$9.35M
$0-100%$0-100%$0-100%$0-100%
$0-100%$4.07M$70K
$24.97M-74.1%$96.61M+507%$118.31M-1.6%$9.19M$96.46M
$312.5K$312.5K$312.5K$312.5K
$9M$0$0
$4.38M$4.38M$4.38M$4.38M
$4.37M$4.37M$4.37M$4.37M
$6.16M-90.1%$227.26M$78.04M-52.4%$13.1M$61.92M
$38.03M$0
-$421.23M-722%-$1.63B-304%$189.61M-$134.94M$67.77M
-$421.23M-722%-$1.63B-304%$189.61M-$134.94M$67.77M

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Questions, answered.

How much cash does Galaxy Digital Inc. Class A Common Stock generate?
Galaxy Digital Inc. Class A Common Stock (GLXY) generated -$559.4M in operating cash flow over the trailing twelve months.
What is Galaxy Digital Inc. Class A Common Stock's free cash flow?
After $1.4B of capital expenditures, Galaxy Digital Inc. Class A Common Stock's free cash flow was -$2.0B over the trailing twelve months, down 453.8% year over year.
Where does Galaxy Digital Inc. Class A Common Stock's cash flow 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.