SoFi Technologies Inc.

13.20
0.32 (2.48%)
At close: Apr 28, 2025, 10:14 AM

SoFi Cash Flow Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year Q4 2024 Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021 Q4 2020 Q3 2020 Q2 2020 Q1 2020 Q4 2019
Period Ending Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021 Dec 31, 2020 Sep 30, 2020 Jun 30, 2020 Mar 31, 2020 Dec 31, 2019
498.67M 214.1M -113.32M -178.28M -300.74M -388.66M -196.19M -244.47M -320.41M -391.41M -347.25M -416.73M -483.94M -455.54M -468.37M -295.25M -224.05M -263.98M -221.1M -228.91M -122.54M
192.68M 203.4M 204.13M 204.63M 201.42M 190.32M 178.06M 165.98M 151.36M 135.53M 119.36M 106.29M 101.57M 100.53M 101.13M 91.09M 69.83M 49.5M 24.82M 9.87M 5.16M
246.15M 248.89M 247.25M 262.07M 271.22M 273.08M 288.94M 293.2M 305.99M 311.74M 306.57M 278.58M 239.01M 192.38M 146.25M 117.64M 99.87M 86.91M 60.36M 36.82M 17.13M
475.23M -1.17B -2.64B -4.74B -7.65B -9.77B -9.91B -8.7B -7.5B -6.23B -3.47B -2.76B -1.34B -161.68M -882.51M -436.18M -493.55M -430.38M 480.02M 318.84M 17.05M
-2.05B -194.75M 115.67M 144.68M 232.17M 306.27M 66.46M 71.98M 106.26M 102.21M 14.48M 66.38M 137.25M 148.59M 221.45M 60.44M 12.65M -5.85M -20.78M 64.58M 11.6M
-2.93M -15.1M -16.16M -19.54M -20.2M -7.12M -8.33M -5.09M -3.5M -3.92M -1.75M 541K 1.2M -4.25M -4.14M -4.15M -4.77M 180K n/a n/a n/a
475.23M -1.14B -2.64B -4.69B -7.61B -9.77B -9.92B -8.74B -7.5B -6.23B -3.48B -2.74B -1.35B -90.45M -787.97M -381.86M -432.86M -422.89M 480.02M 318.84M 17.05M
-637.72M -685.55M -2.2B -4.28B -7.23B -9.4B -9.59B -8.46B -7.26B -6.07B -3.39B -2.7B -1.35B -108.75M -791.65M -412.08M -479.34M -556.12M 323.32M 201.2M -71.6M
-7.38M -156.03M -138.28M -126.4M -116.01M -107.12M -105.02M -102.34M -103.73M -89.79M -75.48M -69.93M -52.26M -45.38M -42.53M -26.5M -24.55M -27.98M -19.19M -15.86M -10.36M
n/a n/a n/a -54.35M -72.3M -72.3M -72.3M -32.72M 58.54M 58.54M 58.54M 73.31M n/a n/a n/a -32.39M -32.39M -32.39M -32.39M n/a n/a
-1.68B -1.87B -1.72B -978.67M -850.96M -663.84M -452.96M -260.22M -44.97M -88.22M -313.35M -305.2M -268.37M -225.13M n/a n/a n/a n/a n/a n/a n/a
854.11M 929.66M 679.61M 374.38M 533.11M 477.53M 393.88M 387.22M 157.56M 225.3M 278.07M 314.82M 414.13M 404.03M 430.08M 352.33M 180.63M 103.01M n/a n/a n/a
-4.15B -4.02B -3.9B -2.36B -1.41B -200.14M -213.47M -201.34M -186.76M -132.6M -81.85M -33.88M 16.69M 16.69M 13.3M 81.11M 135.26M 184.37M 187.76M 119.94M 49.11M
-4.82B -4.95B -5.04B -3.11B -1.89B -527.74M -409.24M -196.37M -106.33M -24.27M -134.06M -20.88M 110.19M 150.22M 400.85M 374.56M 258.95M 227.01M 136.18M 104.08M 38.74M
-1.4B -2.33B -2.72B -2.67B -279.82M 1.43B 2.51B 2.09B 2.39B 2.77B 2.37B 22.9M -1.9B -2.96B -2.71B -549.41M 524.9M 607.5M -73.53M 280.11M 193.18M
-332.81M -336.68M -335.41M -16.64M -15.3M -10.66M -8.68M -24.09M -25.27M -25.27M -32.28M -162.23M -292.02M -292.02M -292.24M -150.27M -21.52M -31.66M -22.81M -14.78M -10.14M
n/a -20.38M -20.38M -40.42M -40.42M -40.42M -40.42M -40.42M -40.42M -40.43M -40.43M -323.29M -323.29M -323.29M -323.29M -40.54M -40.54M -40.54M -40.54M -20.38M -20.38M
6.44B 8.15B 9.7B 11.27B 11.22B 10.59B 10.05B 7.9B 6.11B 3.8B 1.44B 3.05B 2.07B 2.09B 2.08B 7.97M 32.6M 59.27M 62.81M 49.29M 49.68M
5.03B 5.79B 6.95B 8.56B 10.89B 11.96B 12.5B 9.93B 8.44B 6.5B 3.75B 2.58B -462.24M -1.12B -883.65M -373.93M 853.75M 603.43M -74.06M 294.24M 212.34M
-906.22M -327.26M -769.5M 1.17B 1.77B 2.04B 2.5B 1.28B 1.08B 407.2M 230.48M 1B -554.99M 69.2M -127.67M -411.67M 633.22M 274.24M 385.33M 599.45M 179.42M
-645.1M -841.59M -2.34B -4.4B -7.34B -9.5B -9.69B -8.56B -7.36B -6.16B -3.47B -2.77B -1.4B -154.13M -834.18M -438.58M -503.88M -584.1M 304.13M 185.34M -81.96M