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COM:OPENDOOR

Opendoor Technologies Inc.

  • Stock

USD

Last Close

1.70

22/11 21:00

Market Cap

1.31B

Beta: -

Volume Today

618.25K

Avg: -

Preview

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Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
-239.93M
-
-339M
41.29%
-286.76M
15.41%
-662M
130.86%
-1.35B
104.38%
-275M
79.67%
depreciation and amortization
12.78M
-
39M
205.14%
62.35M
59.87%
55M
11.79%
90M
63.64%
72M
20%
deferred income tax
21.02M
-
-5M
123.79%
25.66M
613.30%
-47M
283.13%
2.33B
-
stock based compensation
8.42M
-
13M
54.36%
38.01M
192.35%
536M
1,310.34%
171M
68.10%
126M
26.32%
change in working capital
-1.00B
-
-13M
98.70%
836.56M
6,535.08%
-5.72B
784.23%
956M
116.70%
2.56B
167.47%
accounts receivables
-8.09M
-
-22M
171.81%
-5.98M
72.84%
-61M
920.75%
54M
188.52%
21M
61.11%
inventory
-1.02B
-
17M
101.67%
834.14M
4,806.72%
-5.66B
778.06%
896M
115.84%
2.61B
191.63%
accounts payables
16.38M
-
-5M
130.53%
-4.00M
20.10%
76M
2,002.38%
-25M
132.89%
-38M
52%
other working capital
4.47M
-
-3M
167.05%
12.39M
512.93%
-83M
770.00%
31M
137.35%
-39M
225.81%
other non cash items
20.52M
-
33M
60.80%
6.09M
81.54%
48M
687.79%
866M
1,704.17%
-2.46B
384.30%
net cash provided by operating activities
-1.18B
-
-272M
76.94%
681.91M
350.70%
-5.79B
949.67%
730M
112.60%
2.34B
221.10%
investments in property plant and equipment
-20.02M
-
-28M
39.85%
-17.34M
38.07%
-34M
96.07%
-37M
8.82%
-37M
0%
acquisitions net
-4.86M
-
-33M
579.43%
5M
115.15%
-33M
760%
-10M
69.70%
purchases of investments
-22.93M
-
-79M
244.59%
-174.53M
120.92%
-501M
187.06%
-53M
89.42%
sales maturities of investments
40.37M
-
45M
11.46%
170.00M
277.79%
92M
45.88%
334M
263.04%
81M
75.75%
other investing activites
-5M
-
net cash used for investing activites
-7.43M
-
-95M
1,178.26%
-21.87M
76.98%
-476M
2,076.90%
234M
149.16%
44M
81.20%
debt repayment
-1.18B
-
-3.50B
197.14%
-2.25B
35.64%
-6.03B
167.98%
-11.95B
98.23%
-2.64B
77.91%
common stock issued
321.23M
-
82K
99.97%
886M
1,080,387.80%
4M
99.55%
5M
25%
common stock repurchased
-45.80M
-
-3M
93.45%
dividends paid
-321.23M
-
other financing activites
2.72B
-
4.14B
52.46%
2.41B
41.84%
12.49B
417.93%
10.20B
18.32%
-4M
100.04%
net cash used provided by financing activities
1.50B
-
646M
56.83%
160.66M
75.13%
7.34B
4,469.87%
-1.75B
123.85%
-2.64B
50.71%
effect of forex changes on cash
net change in cash
309.43M
-
279M
9.83%
820.71M
194.16%
1.07B
30.62%
-787M
173.41%
-251M
68.11%
cash at beginning of period
96.35M
-
406M
321.40%
684.82M
68.68%
1.51B
119.91%
2.58B
71.18%
1.79B
30.53%
cash at end of period
405.77M
-
685M
68.81%
1.51B
119.79%
2.58B
71.24%
1.79B
30.53%
1.54B
14.01%
operating cash flow
-1.18B
-
-272M
76.94%
681.91M
350.70%
-5.79B
949.67%
730M
112.60%
2.34B
221.10%
capital expenditure
-20.02M
-
-28M
39.85%
-17.34M
38.07%
-34M
96.07%
-37M
8.82%
-37M
0%
free cash flow
-1.20B
-
-300M
74.99%
664.57M
321.52%
-5.83B
976.96%
693M
111.89%
2.31B
232.90%

All numbers in USD (except ratios and percentages)