Vivid Seats Inc. (SEATW)
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- Incorporated DE
- Fiscal year ends Dec 31
In fiscal 2025, Vivid Seats Inc. reported revenue of $450.51M, down 30.5% from the prior year. The company ran a net loss, with a net margin of -160.1%. It held $636.87M in total assets against $722.00M in total liabilities.
Key ratios (FY2025)
-160.1%
Net margin
-30.5%
Revenue growth (YoY)
| Metric (FY) | 2025 | 2024 | 2023 | 2022 | 2021 | 2020 | 2019 |
|---|---|---|---|---|---|---|---|
| Revenue | $450.51M | $647.89M | $597.39M | $511.09M | $389.67M | $23.28M | $403.64M |
| Net Income | -$721.49M | $14.30M | $113.14M | $28.66M | -$19.13M | -$774.18M | -$53.85M |
| EPS (Diluted) | — | $1.12 | $5.15 | — | — | — | — |
| Total Assets | $636.87M | $1.64B | $1.55B | $1.15B | $1.41B | — | — |
| Total Liabilities | $722.00M | $1.02B | $963.34M | — | — | — | — |
| Shareholders' Equity | -$85.13M | $261.11M | $105.02M | -$382.70M | -$860.68M | -$271.78M | $518.28M |
| Cash & Equivalents | $102.70M | $243.48M | $125.48M | $251.54M | $489.53M | — | — |
| Operating Cash Flow | -$91.60M | $53.92M | $147.32M | $14.38M | $175.79M | -$33.89M | $76.48M |
| Capital Expenditures | $2.16M | $4.23M | $895.0K | $3.56M | $1.13M | $341.0K | $1.26M |
| Shares Outstanding | — | 10.46M | 9.94M | — | — | — | — |