Rush Street Interactive, Inc. (RSI)

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CIK 0001793659 · NYSE · Services-Miscellaneous Amusement & Recreation

  • Sector Services
  • Incorporated DE
  • Fiscal year ends Dec 31

In fiscal 2025, Rush Street Interactive, Inc. reported revenue of $1.13B, up 22.8% from the prior year. The company was profitable, with a net margin of 2.9%. It held $658.51M in total assets against $355.02M in total liabilities.

Key ratios (FY2025)

7.7%
Operating margin
2.9%
Net margin
22.6%
Return on equity
+22.8%
Revenue growth (YoY)
Metric (FY)2025202420232022202120202019
Revenue$1.13B$924.08M$691.16M$592.21M$488.11M$278.50M$63.67M
Cost of Revenue$741.66M$602.04M$465.01M$414.66M$332.14M$190.87M
Operating Income$87.42M$25.05M-$51.61M-$124.80M-$94.28M-$133.42M-$22.33M
Net Income$33.31M$2.39M-$18.30M-$38.63M-$19.49M$1.08M-$22.45M
EPS (Diluted)$0.31$0.03$-0.27$-0.61$-0.51$-0.01
Total Assets$658.51M$379.47M$318.58M$350.35M$408.73M$308.56M$25.49M
Total Liabilities$355.02M$181.15M$152.45M$159.47M$101.03M$575.89M$28.86M
Shareholders' Equity$147.24M$78.68M$53.77M$56.05M$85.44M-$61.78M$0
Cash & Equivalents$336.26M$229.17M$168.33M$179.72M$281.03M$255.62M$6.91M
Operating Cash Flow$165.00M$106.45M-$5.93M-$60.32M-$48.19M$16.18M-$2.46M
Capital Expenditures$767.0K$925.0K$1.29M$4.16M$3.85M$1.87M$430.0K
Shares Outstanding236.12M88.42M68.51M63.53M57.43M52.24M