bf/NYSE:BKKT_icon.jpeg

COM:BAKKT

Bakkt Holdings, Inc.

  • Stock

Last Close

31.61

21/11 21:00

Market Cap

106.75M

Beta: -

Volume Today

2.58M

Avg: -

Preview

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Mar '21
Jun '21
Sep '21
Dec '21
Mar '22
Jun '22
Sep '22
Dec '22
Mar '23
Jun '23
Sep '23
Dec '23
Mar '24
Jun '24
Sep '24
net income
-28.82M
-
-31.89M
10.66%
-78.51M
146.18%
-164.83M
109.95%
-43.32M
73.72%
-27.64M
36.19%
-1.59B
5,661.54%
-326.43M
79.50%
-44.90M
86.24%
-50.51M
12.49%
-51.75M
2.47%
-26.70M
48.41%
-21.27M
20.32%
-16.42M
22.80%
-19.40M
18.13%
depreciation and amortization
2.76M
-
3.00M
8.58%
3.75M
25.18%
5.42M
44.47%
5.85M
7.91%
6.10M
4.22%
6.39M
4.80%
7.01M
9.69%
3.10M
55.78%
3.82M
23.26%
3.96M
3.61%
3.09M
21.98%
57K
98.15%
2.80M
4,812.28%
-1.94M
169.14%
deferred income tax
57K
-
6K
89.47%
3.60M
59,866.67%
11.73M
226.10%
-3.14M
126.80%
-5.10M
62.34%
-610K
88.05%
-2.74M
348.52%
152K
-
23.65M
15,459.87%
stock based compensation
1.26M
-
1.26M
0%
31.36M
2,397.21%
45.91M
46.39%
13.35M
70.93%
7.06M
47.09%
8.78M
24.27%
2.93M
66.62%
7.90M
169.72%
4.35M
44.91%
3.31M
23.92%
8.01M
-
2.63M
-
change in working capital
22.49M
-
9.68M
56.94%
4.58M
52.68%
-60.83M
1,427.48%
-4.01M
93.40%
1.96M
148.84%
-3.52M
279.35%
8.48M
341.11%
-15.50M
282.78%
10.92M
170.43%
44.69M
309.35%
1.71M
96.17%
-45.29M
-
-7.75M
82.88%
accounts receivables
99K
-
-1.56M
1,678.79%
-5.14M
228.66%
-1.13M
77.94%
-1.32M
16.15%
-1.97M
49.77%
-677K
65.65%
-3.20M
372.67%
-100K
96.88%
4.38M
4,479%
-684K
115.62%
-13.64M
1,894.59%
-6.29M
53.91%
12.32M
295.98%
-2.36M
119.12%
inventory
18.59M
-
-761K
104.09%
2.00M
362.94%
-32.70M
1,734.43%
2.28M
-
46.74M
1,947.31%
accounts payables
2.90M
-
11.62M
300.66%
8.77M
24.49%
-19.73M
324.87%
-1.68M
91.47%
-959K
43.02%
-8.03M
736.91%
11.41M
242.19%
-16M
240.20%
4.85M
130.29%
-3.10M
163.94%
6.26M
301.94%
7.31M
16.84%
-23.51M
421.50%
2.56M
110.89%
other working capital
903K
-
389K
56.92%
-1.05M
371.21%
-7.26M
588.06%
-1.02M
86.00%
4.89M
581.40%
5.19M
6.03%
268K
94.83%
600K
123.88%
-593K
198.83%
1.73M
391.40%
9.10M
426.39%
-34.11M
-
-7.96M
76.67%
other non cash items
1.28M
-
259K
79.80%
2.96M
1,041.70%
79.20M
2,578.25%
-1.87M
102.37%
-9.65M
414.94%
1.55B
16,141.78%
287.05M
81.46%
2.20M
99.23%
21K
99.05%
742K
3,433.33%
15.09M
1,934.10%
9.81M
-
1.40M
85.77%
net cash provided by operating activities
-974K
-
-17.69M
1,716.02%
-32.25M
82.34%
-83.39M
158.54%
-33.16M
60.24%
-27.27M
17.74%
-33.48M
22.74%
-23.69M
29.22%
-47.20M
99.22%
-31.25M
33.80%
24.59M
178.72%
-6.81M
127.67%
38.35M
663.52%
-65.89M
271.81%
-25.07M
61.96%
investments in property plant and equipment
-4.05M
-
-4.20M
3.48%
-3.86M
7.99%
-3.58M
7.31%
-3.12M
12.74%
-11.64M
272.87%
-7.77M
33.25%
-8.01M
3.09%
-3.70M
53.81%
-2.33M
37.11%
-1.86M
20.11%
-1.53M
17.81%
-463K
-
2.23M
582.51%
acquisitions net
30.84M
-
-75.13M
-
30.54M
140.65%
-600K
101.96%
-44.37M
7,294.33%
46K
100.10%
-3.58M
7,886.96%
purchases of investments
3.52M
-
-189.17M
-
415K
100.22%
-117.83M
28,493.73%
-27M
77.09%
2.33M
108.62%
-17.60M
856.34%
-17.23M
2.10%
-18.00M
4.45%
-7.99M
-
sales maturities of investments
1.99M
-
74.71M
-
90.46M
21.08%
101M
11.65%
52.11M
48.41%
10.01M
80.80%
22.60M
125.84%
17.46M
22.73%
4.76M
72.74%
14.44M
203.30%
other investing activites
1.77M
-
-5.51M
-
75.13M
-
-30.54M
140.65%
-2.33M
-
-1.77M
-
-2.78M
-
net cash used for investing activites
-4.05M
-
-2.43M
40.11%
-3.86M
58.98%
27.26M
806.19%
-3.12M
111.45%
-200.81M
6,332.25%
67.36M
133.54%
-35.38M
152.53%
69.70M
296.99%
5.42M
92.23%
-9.41M
273.64%
260K
102.76%
-2.30M
986.15%
4.30M
286.50%
5.90M
37.35%
debt repayment
-31K
-
-33K
6.45%
-33K
0%
-404K
1,124.24%
common stock issued
312M
-
1K
-
-1K
200%
7.54M
-
-46.51M
716.45%
common stock repurchased
-84.53M
-
-2.59K
-
-2.50M
-
-132K
-
-2.26M
1,611.36%
-59K
97.39%
-112K
89.83%
dividends paid
-37.12M
-
other financing activites
66.98M
-
1K
100.00%
1K
0%
-2.58M
-
38.96M
-
-112K
-
net cash used provided by financing activities
-31K
-
-33K
6.45%
-33K
0%
256.93M
778,660.61%
1K
100.00%
1K
0%
1K
0%
-2.59M
258,800%
-22K
99.15%
-2.50M
11,272.73%
-132K
-
36.70M
27,906.82%
7.49M
79.61%
-112K
101.50%
effect of forex changes on cash
79K
-
94K
18.99%
75K
20.21%
-307K
509.33%
188K
161.24%
-381K
302.66%
-775K
103.41%
118K
115.23%
22K
81.36%
339K
1,440.91%
-397K
217.11%
620K
-
net change in cash
-4.98M
-
-20.05M
302.71%
-36.07M
79.86%
200.49M
655.82%
-36.09M
118.00%
-228.47M
533.07%
33.11M
114.49%
-61.54M
285.88%
22.50M
136.56%
-27.99M
224.40%
14.79M
152.85%
-11.76M
179.51%
72.33M
715.02%
-19.08M
126.38%
-19.03M
0.26%
cash at beginning of period
91.94M
-
86.96M
5.42%
66.91M
23.06%
207.93M
210.76%
408.42M
96.42%
372.33M
8.84%
143.86M
61.36%
176.97M
23.02%
115.40M
34.79%
137.90M
19.50%
109.91M
20.30%
96.48M
12.22%
118.50M
22.82%
100.61M
15.10%
136.52M
35.70%
cash at end of period
86.96M
-
66.91M
23.06%
30.84M
53.91%
408.42M
1,224.43%
372.33M
8.84%
143.86M
61.36%
176.97M
23.02%
115.42M
34.78%
137.90M
19.47%
109.91M
20.30%
124.70M
13.46%
84.72M
32.06%
190.83M
125.25%
81.53M
57.28%
117.49M
44.11%
operating cash flow
-974K
-
-17.69M
1,716.02%
-32.25M
82.34%
-83.39M
158.54%
-33.16M
60.24%
-27.27M
17.74%
-33.48M
22.74%
-23.69M
29.22%
-47.20M
99.22%
-31.25M
33.80%
24.59M
178.72%
-6.81M
127.67%
38.35M
663.52%
-65.89M
271.81%
-25.07M
61.96%
capital expenditure
-4.05M
-
-4.20M
3.48%
-3.86M
7.99%
-3.58M
7.31%
-3.12M
12.74%
-11.64M
272.87%
-7.77M
33.25%
-8.01M
3.09%
-3.70M
53.81%
-2.33M
37.11%
-1.86M
20.11%
-1.53M
17.81%
-463K
-
2.23M
582.51%
free cash flow
-5.03M
-
-21.88M
335.22%
-36.11M
65.03%
-86.97M
140.81%
-36.28M
58.28%
-38.91M
7.27%
-41.24M
5.99%
-31.70M
23.14%
-50.90M
60.56%
-33.57M
34.04%
22.74M
167.72%
-8.33M
136.66%
38.35M
560.20%
-66.36M
273.01%
-22.83M
65.59%

All numbers in (except ratios and percentages)