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COM:RISKIFIED

Riskified Ltd.

  • Stock

USD

Last Close

4.58

22/11 21:00

Market Cap

1.03B

Beta: -

Volume Today

477.71K

Avg: -

Preview

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Mar '20
Jun '20
Sep '20
Dec '20
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
2.25M
-
-7.27M
422.49%
-10.68M
46.93%
4.35M
140.71%
-43.65M
1,103.96%
-20.49M
53.06%
-91.69M
347.49%
-27.89M
69.58%
-33.26M
19.26%
-33.03M
0.71%
-25.87M
21.68%
-11.83M
54.28%
-17.95M
51.77%
-16.89M
5.89%
-20.93M
23.86%
-3.27M
84.40%
-11.63M
256.20%
-9.51M
18.24%
-9.70M
2.00%
depreciation and amortization
278K
-
310K
11.51%
327K
5.48%
445K
36.09%
504K
13.26%
628K
24.60%
655K
4.30%
649K
0.92%
979K
50.85%
949K
3.06%
1.01M
6.43%
1.34M
32.28%
1.28M
3.97%
1.26M
1.56%
1.27M
0.95%
3.89M
205.25%
1.26M
67.50%
3.90M
207.98%
1.19M
69.48%
deferred income tax
-625K
-
-291K
53.44%
2.89M
1,094.50%
2.07M
28.47%
23.41M
1,031.01%
13.70M
41.50%
64.92M
374.01%
-84K
-
390K
564.29%
-38.08M
9,863.20%
stock based compensation
477K
-
6.23M
1,205.66%
601K
90.35%
639K
6.32%
2.55M
298.90%
2.58M
1.10%
13.18M
411.29%
19.73M
49.71%
18.39M
6.79%
18.14M
1.37%
15.71M
13.37%
15.23M
3.04%
16.36M
7.37%
15.80M
3.41%
15.33M
2.97%
14.93M
2.64%
15.52M
4%
13.90M
-
change in working capital
3.13M
-
-7.81M
349.78%
3.42M
143.80%
-7.99M
333.43%
4.38M
154.87%
-1.35M
130.76%
257K
119.07%
-8.42M
3,374.71%
4.54M
153.97%
546K
87.98%
2.75M
404.58%
-6.71M
343.45%
-1.93M
71.21%
-9.42M
388.04%
3.48M
136.98%
-10.72M
407.52%
1.37M
112.80%
-7.72M
662.43%
3.29M
142.57%
accounts receivables
10.83M
-
-9.13M
184.30%
-97K
98.94%
-14.17M
14,510.31%
14.56M
202.74%
-3.54M
124.31%
2.34M
165.99%
-11.92M
610.15%
12.02M
200.83%
-4.67M
138.83%
-2.49M
46.64%
-6.58M
164.06%
8.77M
233.31%
-9.59M
209.44%
7.01M
173.13%
-15.34M
318.65%
12.87M
183.90%
-6.61M
151.38%
5.47M
182.70%
inventory
-1.47M
-
-362K
75.39%
594K
264.09%
4.10M
590.07%
-3.94M
196.17%
850K
121.56%
-4.30M
606.47%
-807K
-
-1.98M
145.35%
-1
100.00%
accounts payables
-1.88M
-
-1.99M
5.74%
1.31M
165.78%
-1.14M
187.39%
49K
104.28%
563K
1,048.98%
573K
1.78%
-2.02M
452.01%
1.01M
150.02%
598K
40.73%
544K
9.03%
-220K
140.44%
334K
251.82%
1.39M
317.37%
-1.33M
195.12%
-29.41K
97.78%
-332K
1,028.71%
-380.12K
14.49%
293K
177.08%
other working capital
-4.35M
-
3.67M
184.35%
1.62M
55.97%
3.23M
99.81%
-6.29M
294.64%
779K
112.39%
1.65M
112.20%
5.52M
233.82%
-8.48M
253.73%
4.61M
154.39%
4.70M
1.89%
88K
98.13%
-11.03M
12,634.09%
-419K
96.20%
-224K
46.54%
4.65M
2,176.02%
-5.50M
218.34%
-723.76K
86.85%
-2.48M
242.24%
other non cash items
-5.16M
-
1.29M
125.05%
6.19M
379.04%
1.80M
70.96%
16.67M
826.79%
6.36M
61.87%
1.14M
82.11%
1.91M
68.07%
2.33M
21.93%
1.05M
54.89%
3.61M
243.58%
-2.13M
159.04%
2.47M
215.95%
4.47M
80.99%
4.94M
10.37%
40.40M
718.24%
3.55M
91.21%
32.32M
810.52%
5.33M
83.50%
net cash provided by operating activities
351K
-
-7.54M
2,248.72%
2.76M
136.57%
1.31M
52.39%
3.87M
194.67%
1.42M
63.30%
-11.55M
913.10%
-14.02M
21.44%
-7.03M
49.89%
-12.35M
75.72%
-2.78M
77.47%
-4.10M
47.30%
229K
105.59%
-4.87M
2,224.89%
4.49M
192.33%
7.16M
59.43%
10.66M
48.83%
4.21M
60.52%
14.01M
232.90%
investments in property plant and equipment
-1.04M
-
-876K
15.69%
-501K
42.81%
-545K
8.78%
-680K
24.77%
-904K
32.94%
-3.36M
271.79%
-8.56M
154.66%
-2.97M
65.28%
-979K
67.06%
-997K
1.84%
-3.06M
207.32%
-187K
93.90%
-61K
67.38%
-826K
1,254.10%
-267.31K
67.64%
-178K
33.41%
-220.71K
23.99%
-105K
52.43%
acquisitions net
198K
-
238K
20.20%
-5.44M
-
-259.86M
4,679.55%
-98.50M
62.10%
-118.80M
20.61%
-45.91M
61.35%
purchases of investments
-14M
-
-25M
-
-85M
240%
-151.75M
-
-40.21M
73.50%
-143.79M
257.59%
-128.00M
10.98%
-50M
60.94%
803.48K
101.61%
-34.09M
4,342.28%
299.65K
100.88%
sales maturities of investments
7.02M
-
7.02M
-
6.99M
0.37%
24.98M
257.35%
78K
99.69%
85.21M
109,144.87%
149.79M
-
26.75M
82.14%
129M
382.24%
118M
8.53%
80M
32.20%
8.48M
89.40%
other investing activites
-7.02M
-
-198K
-
-238K
20.20%
5.44M
-
259.86M
4,679.55%
98.50M
62.10%
118M
19.80%
45.91M
61.09%
83K
-
net cash used for investing activites
-1.04M
-
-876K
15.69%
-501K
42.81%
-14.54M
2,803.19%
6.34M
143.56%
-18.91M
398.52%
-63.38M
235.11%
-8.48M
86.62%
-69.51M
719.64%
-41.19M
40.75%
5.00M
112.15%
-104.31M
2,184.97%
78.81M
175.56%
117.94M
49.64%
45.09M
61.77%
8.52M
81.11%
-178K
102.09%
-220.71K
23.99%
-22K
90.03%
debt repayment
-2.32M
-
common stock issued
392.27M
-
-392.27M
200%
785.79K
-
990.44K
26.04%
1.21M
21.76%
1.53M
26.81%
279.53K
81.72%
691.36K
147.33%
2.07M
-
common stock repurchased
-12.69M
-
-30.43M
139.72%
-38.43M
26.30%
-47.02M
22.34%
dividends paid
other financing activites
59K
-
120K
-
26.84M
22,269.17%
-596K
102.22%
25.91M
4,446.64%
7.05M
72.78%
390.83M
5,442.07%
565K
99.86%
2.34M
-
59.56K
97.46%
44.67K
-
53.47K
19.68%
1
100.00%
316K
-
net cash used provided by financing activities
59K
-
27.00M
45,667.80%
120K
99.56%
26.84M
22,269.17%
-596K
102.22%
25.91M
4,446.64%
399.32M
1,441.44%
-1.45M
100.36%
565K
139.07%
1.43M
152.39%
814K
42.92%
1.05M
28.99%
1.21M
14.86%
1.57M
30.51%
333K
78.84%
-12.00M
3,704.22%
-29.40M
144.95%
-36.36M
23.67%
-46.70M
28.44%
effect of forex changes on cash
10.24M
-
-10.24M
-
-576K
-
-1.35M
134.03%
-722K
46.44%
945K
230.89%
216K
77.14%
-33K
115.28%
-536K
1,524.24%
650K
221.27%
-388K
159.69%
413K
-
net change in cash
-629K
-
18.59M
3,054.69%
2.38M
87.21%
13.61M
472.61%
9.61M
29.40%
8.41M
12.46%
324.40M
3,756.36%
-23.95M
107.38%
-76.55M
219.66%
-53.46M
30.17%
2.31M
104.33%
-106.41M
4,700.69%
80.46M
175.61%
114.61M
42.44%
49.38M
56.92%
5.37M
89.13%
-19.30M
459.81%
-32.84M
70.12%
-32.30M
1.66%
cash at beginning of period
72.71M
-
72.08M
0.87%
90.67M
25.78%
93.05M
2.62%
106.66M
14.63%
116.27M
9.01%
124.68M
7.24%
449.07M
260.19%
425.13M
5.33%
348.58M
18.01%
295.12M
15.34%
297.43M
0.78%
191.02M
35.78%
271.48M
42.12%
386.10M
42.22%
435.47M
12.79%
440.84M
1.23%
421.53M
4.38%
388.69M
7.79%
cash at end of period
72.08M
-
90.67M
25.78%
93.05M
2.62%
106.66M
14.63%
116.27M
9.01%
124.68M
7.24%
449.07M
260.19%
425.13M
5.33%
348.58M
18.01%
295.12M
15.34%
297.43M
0.78%
191.02M
35.78%
271.48M
42.12%
386.10M
42.22%
435.47M
12.79%
440.84M
1.23%
421.53M
4.38%
388.69M
7.79%
356.40M
8.31%
operating cash flow
351K
-
-7.54M
2,248.72%
2.76M
136.57%
1.31M
52.39%
3.87M
194.67%
1.42M
63.30%
-11.55M
913.10%
-14.02M
21.44%
-7.03M
49.89%
-12.35M
75.72%
-2.78M
77.47%
-4.10M
47.30%
229K
105.59%
-4.87M
2,224.89%
4.49M
192.33%
7.16M
59.43%
10.66M
48.83%
4.21M
60.52%
14.01M
232.90%
capital expenditure
-1.04M
-
-876K
15.69%
-501K
42.81%
-545K
8.78%
-680K
24.77%
-904K
32.94%
-3.36M
271.79%
-8.56M
154.66%
-2.97M
65.28%
-979K
67.06%
-997K
1.84%
-3.06M
207.32%
-187K
93.90%
-61K
67.38%
-826K
1,254.10%
-267.31K
67.64%
-178K
33.41%
-220.71K
23.99%
-105K
52.43%
free cash flow
-688K
-
-8.42M
1,123.55%
2.26M
126.81%
768K
65.97%
3.19M
315.23%
516K
83.82%
-14.91M
2,988.95%
-22.58M
51.47%
-10.00M
55.72%
-13.32M
33.28%
-3.78M
71.64%
-7.16M
89.52%
42K
100.59%
-4.93M
11,830.95%
3.67M
174.43%
6.90M
88.05%
10.48M
52.02%
3.99M
61.95%
13.91M
248.68%

All numbers in USD (except ratios and percentages)