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Vivid Seats Inc. SEAT Ratios & Valuation

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
Profitability
Net margin193.6%+14.7pp178.9%
Free cash flow margin-5.1%+15.8pp-20.9%-18.7pp-2.2%
Returns
Return on assets69.8%-1.1pp70.9%
Efficiency
Asset turnover0.4×0.0×0.4×0.0×0.4×0.0×0.4×0.0×0.4×0.0×
Liquidity
Current ratio0.7×+0.1×0.6×-0.1×0.7×-0.1×0.7×0.0×0.8×0.0×
Quick ratio0.6×0.0×0.5×-0.1×0.6×0.0×0.6×-0.1×0.7×-0.1×
Cash ratio0.4×0.0×0.3×-0.1×0.4×0.0×0.4×-0.1×0.5×-0.1×
Leverage
Debt-to-assets0.6×-0.1×0.6×+0.3×0.3×0.0×0.3×+0.1×0.2×0.0×
Per Share
Book value per share-$8.82$36.41+45.8%
Valuation
Market capitalization$71.64M-63.1%$77.33M-28.1%$107.55M-50.1%$215.55M-45.1%$392.78M-35.5%
Enterprise value$310.71M-28.3%$376.82M+8.7%$346.65M-22.5%$447.54M-22.7%$579.1M-24.9%
Price / earnings0.1×0.1×
Price / sales0.2×-0.2×0.2×0.0×0.2×-0.2×0.4×-0.3×0.6×-0.3×
EV / sales0.8×0.0×0.8×+0.2×0.7×-0.1×0.8×-0.1×0.9×-0.3×
Free cash flow yield-27.4%-121.9%-111pp-10.8%
Earnings yield1,039.7%1,042.4%

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Questions, answered.

Where do Vivid Seats Inc.'s ratios come from?
Every ratio is computed from Vivid Seats Inc.'s SEC filings — trailing-twelve-month flows over period-end balances. Valuation multiples combine those fundamentals with market data, recomputed each period. Switch between quarterly, annual, and TTM, or open any ratio for its full history and peer comparisons.