Redfin Corporation

NASDAQ:RDFN

7.37 (USD) • At close January 14, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

2023202220212020201920182017201620152014
Operating Activities:
Net Income -130.026-321.143-109.613-18.527-80.805-41.978-15.002-22.526-30.236-24.73
Depreciation & Amortization 62.76264.90746.90614.5649.238.4657.1766.2934.3952.672
Deferred Income Tax 0006.69700000-0.306
Stock Based Compensation 70.70168.25754.72236.97327.81420.43811.1018.4135.5625.196
Change In Working Capital 84.116195.077-312.87822.135-59.439-23.1893.971-1.525-1.9423.572
Accounts Receivables 3.28624.411-7.149-35.496-3.861-2.801-2.709-5.021-2.6850.499
Inventory 114.232243.948-309.06325.432-51.896-19.312-3.382000
Accounts Payables -1.323-2.4723.0592.086-0.3940.617-0.2520.6380.1520.913
Other Working Capital -32.079-70.810.27530.113-3.288-1.6934.223-2.163-2.0942.659
Other Non Cash Items -30.79533.39319.295-0.575-4.41-0.438-1.89125.38216.8850.607
Operating Cash Flow 56.75840.491-301.56861.267-107.61-36.7025.355-9.345-22.221-13.596
Investing Activities:
Investments In Property Plant And Equipment -12.056-21.531-27.492-14.686-15.533-8.303-12.113-13.567-4.607-4.961
Acquisitions Net 0-97.341-60842.433100.3790000-4.074
Purchases Of Investments -76.866-182.466-146.274-198.172-136.265-2-0.992-1.744-1.55-1.481
Sales Maturities Of Investments 186.404117205.46155.73935.88602.7411.7441.591.477
Other Investing Activites 0-65.46659.186-42.433-100.379-21.74900.04-0.004
Investing Cash Flow 97.482-184.338-576.306-57.119-115.912-10.303-10.364-13.567-4.567-9.039
Financing Activities:
Debt Repayment -197.797-335.391730.579576.43520.941141.672.016000
Common Stock Issued 9.61311.52822.77269.7010107.593148.0881.3454.3820
Common Stock Repurchased 0-7.498-27.0660-5.126000-0.009-2.928
Dividends Paid 00000000-2.659-0.225
Other Financing Activities -57.2313.297-53.17248.09110.94224.139-0.28206.19569.81
Financing Cash Flow -245.415-332.094650.341694.22731.883273.402149.8221.3453.54569.585
Other Information:
Effect Of Forex Changes On Cash -0.071-0.094-0.006-0.0030.03200000
Net Change In Cash -91.246-476.035-227.539698.372-191.607226.397144.813-21.567-23.24346.95
Cash At End Of Period 151242.246718.281945.82247.448439.055212.65864.0389.02110.601