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Riot Platforms, Inc. RIOT Cash Flow Statement

FY'25FY'24FY'23FY'22
-$663.18M-706%$109.4M-$509.55M-3,201%
$346.81M+63.5%$212.05M-16.0%$252.35M+134%$107.95M+310%
$125.71M+0.4%$125.2M+289%$32.17M+31.0%$24.56M-64.1%
$4.3M+1,618%$250K
$2.27M-$5.34M
$24.09M+73.5%$13.88M
-$572.93M-125%-$255.05M-871%$33.09M
$201.38M-16.2%$240.34M+24.1%$193.7M+30.5%$148.41M+0.9%
-$1.51B-264%-$414.77M-16.9%-$354.86M+27.7%
$4.29M-62.9%$11.56M-17.6%$14.04M+38.4%$10.14M+99.5%
$212.74M-78.2%$977.03M
$15.25M+19,704%$77K
$455.29M-70.0%$1.52B+103%$748.52M+174%$272.8M-59.0%
-$245.87M-167%$366.84M
$45K
$1.04M+868%$107K-84.3%$680K
$4.3M+1,618%$250K
-$97K0.0%-$97K0.0%-$97K0.0%
$6.32M+61.8%$3.91M+55.8%$2.51M-79.4%$12.18M
-$18.07M-635%-$2.46M
-$115.88M-125%$457.41M
$576.28M+79.5%$321M+69.8%$189M+20.5%$156.87M-14.9%
-$5.76M
-$20M
$213.6M-51.7%$442.47M$194.92M-29.1%
$577.5M
-$4.41M
$15.25M+19,704%$77K
$5.03M-75.3%$20.39M
$1.45M
$24.09M+73.5%$13.88M
$165.43M-73.5%$623.32M$422.87M+805%
$107K-84.3%$680K
-$774.31M-56.3%-$495.39M-208%-$160.62M-8.6%-$147.88M+36.6%
-$774.31M-56.3%-$495.39M-208%-$160.62M-8.6%-$147.88M+36.6%

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Questions, answered.

How much cash does Riot Platforms, Inc. generate?
Riot Platforms, Inc. (RIOT) generated -$633.5M in operating cash flow over the trailing twelve months.
What is Riot Platforms, Inc.'s free cash flow?
After $284.0M of capital expenditures, Riot Platforms, Inc.'s free cash flow was -$917.5M over the trailing twelve months, down 71.5% year over year.
Where does Riot Platforms, Inc.'s cash flow data come from?
Every line is extracted from Riot Platforms, Inc.'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.