marketcaparena

BLSH

Bullish

Company overview

Market capitalization
—
Employees
414
Latest publication
2026-09-29
About Bullish

Bullish, a global digital asset platform that provides market infrastructure and information services in United States. The company operates Bullish Exchange, a digital assets spot and derivatives exchange that integrates a central limit order book matching engine with automated market making to provide deep and predictable liquidity. It also offers CoinDesk Indices, a collection of tradable proprietary and single-asset benchmarks and indices that track the performance of digital assets to leading traditional finance institutions, including exchanges and asset managers; CoinDesk Data, a comprehensive suite of digital assets market data and analytics, providing real-time insights into prices, trends, and market dynamics; and CoinDesk Insights offers news, analysis, information, conferences and networking opportunities related to digital assets, blockchain technology and the broader financial technology industry. Bullish was founded in 2020 and is based in George Town, Cayman Islands.

Company website

Financial statements

Income Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USD
Total Revenue51,812,747,000USD64,401,273,000USD41,649,657,000USD58,662,937,000USD80,256,461,000USD66,040,603,000USD54,204,240,000USD49,604,463,000USD
Cost Of Revenue51,794,969,000USD64,486,725,000USD41,584,605,000USD58,615,273,000USD80,252,795,000USD66,154,537,000USD54,171,381,000USD49,556,478,000USD
Gross Profit17,777,999USD-85,452,000USD65,052,000USD47,664,000USD3,666,000USD-113,934,000USD32,859,000USD47,985,000USD
Selling General Administrative27,521,000USD86,920,000USD45,709,000USD43,017,000USD11,584,000USD94,571,000USD39,618,000USD39,662,000USD
Unclassified Operating Expenses48,106,000USD-199,407,000USD—17,362,000USD-11,177,000USD-237,250,000USD—16,720,000USD
Total Operating Expenses75,627,000USD-112,487,000USD45,709,000USD60,379,000USD407,000USD-142,679,000USD39,618,000USD56,382,000USD
Operating Income-57,849,000USD27,035,000USD19,343,000USD-12,715,000USD3,259,000USD28,745,000USD-6,759,000USD-8,397,000USD
Interest Expense14,088,000USD14,932,000USD13,906,000USD13,291,000USD10,240,000USD10,659,000USD9,878,000USD9,063,000USD
Net Interest Income-14,088,000USD-14,932,000USD-13,906,000USD-13,291,000USD-10,240,000USD-10,659,000USD-9,878,000USD-9,063,000USD
Income Before Tax-604,636,000USD-565,089,000USD18,375,000USD109,144,000USD-348,843,000USD162,243,000USD-66,527,000USD-116,092,000USD
Income Tax Expense226,000USD-1,523,000USD-76,000USD876,000USD-221,000USD3,782,000USD745,000USD302,000USD
Tax Provision226,000USD-1,523,000USD-76,000USD876,000USD-221,000USD3,782,000USD745,000USD302,000USD
Net Income-581,713,000USD-546,597,000USD18,397,000USD107,513,000USD-343,994,000USD157,032,000USD-66,732,000USD-115,346,000USD
Net Income From Continuing Ops-604,862,000USD-563,566,000USD18,451,000USD108,268,000USD-348,622,000USD158,461,000USD-67,272,000USD-116,394,000USD
Ebit-57,849,000USD-550,157,000USD32,281,000USD122,435,000USD-338,603,000USD172,902,000USD-56,649,000USD-107,029,000USD
Ebitda-55,622,000USD-549,208,000USD34,096,000USD124,624,000USD-336,489,000USD175,050,000USD-54,605,000USD-104,735,000USD
Depreciation And Amortization2,227,000USD949,000USD1,815,000USD2,189,000USD2,114,000USD2,148,000USD2,044,000USD2,294,000USD
Reconciled Depreciation2,227,000USD949,000USD1,815,000USD2,189,000USD2,114,000USD2,148,000USD2,044,000USD2,294,000USD
Total Other Income Expense Net-546,787,000USD-592,124,000USD-968,000USD121,859,000USD-352,102,000USD133,498,000USD-59,768,000USD-107,695,000USD
Minority Interest23,149,000USD16,969,000USD-54,000USD-755,000USD4,628,000USD-1,429,000USD540,000USD1,048,000USD
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Income Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USD
Total Revenue244,970,328,000USD250,263,249,000USD116,507,500,000USD72,895,276,000USD1,321,565,000USD—
Cost Of Revenue244,896,244,000USD250,257,969,000USD116,529,172,000USD72,901,831,000USD2,365,030,000USD—
Gross Profit74,084,000USD5,280,000USD-21,672,000USD-6,555,000USD-1,043,465,000USD—
Selling General Administrative48,992,000USD21,466,000USD13,584,000USD44,417,000USD93,011,000USD118,956,000USD
Unclassified Operating Expenses-25,567,000USD-48,108,000USD-45,467,000USD-66,641,000USD132,519,000USD—
Total Operating Expenses23,425,000USD-26,642,000USD-31,883,000USD-22,224,000USD232,195,000USD119,040,000USD
Operating Income50,659,000USD31,922,000USD10,211,000USD15,669,000USD-1,275,660,000USD-119,040,000USD
Interest Expense52,369,000USD38,529,000USD2,983,000USD122,726,000USD126,835,000USD—
Net Interest Income-52,369,000USD-38,529,000USD-2,983,000USD-122,726,000USD-125,324,000USD—
Income Before Tax-786,413,000USD84,569,000USD1,301,472,000USD-4,244,684,000USD-1,400,984,000USD-119,022,000USD
Income Tax Expense-944,000USD5,005,000USD1,457,000USD1,200,000USD263,000USD—
Tax Provision-944,000USD5,005,000USD1,457,000USD1,200,000USD263,000USD—
Net Income-764,681,000USD78,527,000USD1,299,167,000USD-4,245,884,000USD-1,401,247,000USD-119,022,000USD
Net Income From Continuing Ops-785,469,000USD79,564,000USD1,300,015,000USD-4,245,884,000USD-1,401,247,000USD—
Ebit-734,044,000USD123,098,000USD1,304,455,000USD-4,121,958,000USD-1,274,149,000USD—
Ebitda-725,845,000USD131,645,000USD1,309,878,000USD-4,118,357,000USD-1,273,678,000USD—
Depreciation And Amortization8,199,000USD8,547,000USD5,423,000USD3,601,000USD471,000USD119,040,000USD
Reconciled Depreciation7,067,000USD8,547,000USD5,423,000USD3,601,000USD471,000USD—
Total Other Income Expense Net-837,072,000USD52,647,000USD1,291,261,000USD-4,260,353,000USD-125,324,000USD18,000USD
Minority Interest20,788,000USD-1,037,000USD-848,000USD0USD——
Interest Income——9,224,000USD—1,511,000USD—
Selling And Marketing Expenses————6,665,000USD—
SourceLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacyLegacy providerLegacy

Balance sheet Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USD
Total Assets3,324,056,000USD3,956,504,000USD4,623,382,000USD3,239,510,000USD2,664,927,000USD3,047,412,000USD——
Intangible Assets30,535,000USD31,104,000USD31,661,000USD32,232,000USD53,001,000USD53,342,000USD——
Other Current Assets2,245,578,000USD2,642,532,000USD3,328,253,000USD1,985,938,000USD1,639,164,000USD1,909,159,000USD——
Total Liab620,849,000USD658,175,000USD645,330,000USD688,196,000USD701,067,000USD646,753,000USD——
Total Stockholder Equity2,649,329,000USD3,227,962,000USD3,917,074,000USD2,538,174,000USD1,958,496,000USD2,389,680,000USD——
Other Current Liab101,961,000USD74,072,000USD52,893,000USD40,723,000USD36,577,000USD44,594,000USD——
Common Stock302,000USD5,110,063,000USD301,000USD226,000USD3,821,537,000USD3,821,537,000USD——
Capital Stock302,000USD301,000USD301,000USD226,000USD3,821,537,000USD3,821,537,000USD——
Retained Earnings-2,860,139,000USD-2,656,325,000USD-2,290,225,000USD-2,375,625,000USD-2,601,700,000USD-2,309,053,000USD——
Good Will62,682,000USD63,062,000USD63,023,000USD63,458,000USD62,182,000USD61,475,000USD——
Cash93,055,000USD104,731,000USD69,307,000USD35,560,000USD28,300,000USD31,540,000USD——
Cash And Short Term Investments359,695,000USD508,875,000USD445,152,000USD564,050,000USD420,681,000USD250,362,000USD——
Total Current Assets3,177,877,000USD3,804,066,000USD4,489,393,000USD3,103,894,000USD2,527,576,000USD2,912,378,000USD——
Total Current Liabilities120,279,000USD129,912,000USD115,773,000USD126,221,000USD158,152,000USD85,049,000USD——
Current Deferred Revenue11,771,000USD—7,973,000USD5,939,000USD10,111,000USD9,504,000USD——
Net Debt414,044,000USD496,732,000USD513,261,000USD556,503,000USD576,553,000USD511,525,000USD——
Short Term Debt6,547,000USD55,840,000USD53,011,000USD77,979,000USD109,833,000USD29,246,000USD——
Short Long Term Debt334,000USD50,316,000USD50,445,000USD73,446,000USD105,256,000USD25,000,000USD——
Short Long Term Debt Total507,099,000USD601,463,000USD582,568,000USD592,063,000USD604,853,000USD543,065,000USD——
Long Term Debt487,735,000USD510,867,000USD521,862,000USD503,011,000USD483,211,000USD503,063,000USD——
Short Term Investments266,640,000USD404,144,000USD375,845,000USD528,490,000USD392,381,000USD218,822,000USD——
Net Receivables429,906,000USD446,481,000USD461,785,000USD322,036,000USD275,137,000USD178,981,000USD——
Inventory142,698,000USD206,178,000USD254,203,000USD231,870,000USD192,594,000USD573,876,000USD——
Property Plant Equipment Net26,465,000USD28,369,000USD12,206,000USD14,856,000USD15,531,000USD14,118,000USD——
Accumulated Other Comprehensive Income390,214,000USD774,223,999USD1,101,668,000USD1,073,863,000USD720,260,000USD858,797,000USD——
Common Stock Shares Outstanding151,146,279shares150,924,000shares133,066,000shares146,183,739shares146,183,739shares146,183,739shares146,183,739shares146,183,739shares
Non Current Assets Total146,179,000USD152,438,000USD133,989,000USD135,616,000USD137,351,000USD135,034,000USD——
Non Current Liabilities Total500,570,000USD528,263,000USD529,557,000USD561,975,000USD542,915,000USD561,704,000USD——
Non Currrent Assets Other8,625,000USD24,176,000USD21,228,000USD22,551,000USD4,281,000USD4,011,000USD——
Net Working Capital3,057,598,000USD3,674,154,000USD4,373,620,000USD2,977,673,000USD2,369,424,000USD2,827,329,000USD——
Unclassified Non Current Assets17,872,000USD5,727,000USD5,871,000USD2,519,000USD2,356,000USD2,088,000USD——
Unclassified Non Current Liabilities12,835,000USD17,396,000USD7,695,000USD58,964,000USD59,704,000USD58,641,000USD——
Unclassified Equity5,118,650,000USD—5,105,029,000USD3,839,484,000USD-3,803,138,000USD-3,803,138,000USD——
Property Plant Equipment Gross—47,626,000USD12,206,000USD14,856,000USD15,531,000USD28,360,000USD——
Unclassified Current Liabilities—-50,316,000USD-48,549,000USD-71,866,000USD-103,625,000USD-23,295,000USD——
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Balance sheet Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USD
Total Assets3,956,504,000USD3,047,412,000USD1,804,519,000USD3,406,090,000USD7,455,231,000USD5,049,370,000USD
Intangible Assets31,104,000USD53,342,000USD34,936,000USD1,336,000USD1,336,000USD4,757,362,000USD
Other Current Assets2,642,532,000USD1,909,159,000USD24,340,000USD219,333,000USD97,958,000USD52,627,000USD
Total Liab658,175,000USD646,753,000USD522,225,000USD1,523,254,000USD1,344,300,000USD1,037,503,000USD
Total Stockholder Equity3,227,962,000USD2,389,680,000USD1,281,446,000USD1,882,836,000USD6,110,931,000USD4,011,867,000USD
Other Current Liab74,072,000USD44,594,000USD28,039,000USD1,442,581,000USD135,837,000USD151,000USD
Common Stock5,110,063,000USD3,821,537,000USD3,787,108,000USD3,787,108,000USD3,787,108,000USD3,787,137,000USD
Capital Stock301,000USD3,821,537,000USD3,787,108,000USD3,787,108,000USD3,787,108,000USD—
Retained Earnings-2,656,325,000USD-2,309,053,000USD-2,666,797,000USD-2,212,658,000USD2,033,226,000USD-19,837,000USD
Good Will63,062,000USD61,475,000USD40,235,000USD0USD——
Cash104,731,000USD31,540,000USD112,901,000USD1,383,577,000USD1,234,774,000USD239,377,000USD
Cash And Short Term Investments508,875,000USD250,362,000USD367,667,000USD1,412,471,000USD1,234,774,000USD239,377,000USD
Total Current Assets3,804,066,000USD2,912,378,000USD1,705,872,000USD3,377,535,000USD7,443,539,000USD292,004,000USD
Total Current Liabilities129,912,000USD85,049,000USD37,738,000USD1,512,161,000USD172,419,000USD28,124,000USD
Net Debt496,732,000USD511,525,000USD327,500,000USD-1,369,449,000USD-1,228,276,000USD770,002,000USD
Short Term Debt55,840,000USD29,246,000USD3,818,000USD3,222,000USD955,000USD—
Short Long Term Debt50,316,000USD25,000,000USD————
Short Long Term Debt Total601,463,000USD543,065,000USD440,401,000USD14,128,000USD6,498,000USD1,009,379,000USD
Long Term Debt510,867,000USD503,063,000USD428,914,000USD———
Short Term Investments404,144,000USD218,822,000USD254,766,000USD28,894,000USD——
Net Receivables446,481,000USD178,981,000USD24,519,000USD87,457,000USD12,000USD—
Inventory206,178,000USD573,876,000USD1,289,346,000USD1,658,274,000USD6,110,795,000USD—
Property Plant Equipment Net28,369,000USD14,118,000USD13,858,000USD17,321,000USD8,266,000USD—
Property Plant Equipment Gross47,626,000USD28,360,000USD23,339,000USD21,379,000USD8,737,000USD—
Accumulated Other Comprehensive Income774,223,999USD858,797,000USD142,736,000USD———
Common Stock Shares Outstanding127,723,000shares146,183,739shares146,183,739shares146,183,739shares146,183,739shares160,750,000shares
Non Current Assets Total152,438,000USD135,034,000USD98,647,000USD28,555,000USD11,692,000USD4,757,366,000USD
Non Current Liabilities Total528,263,000USD561,704,000USD484,487,000USD11,093,000USD1,171,881,000USD1,009,379,000USD
Non Currrent Assets Other24,176,000USD4,011,000USD5,920,000USD4,720,000USD267,000USD4,000USD
Net Working Capital3,674,154,000USD2,827,329,000USD1,668,134,000USD1,865,374,000USD7,271,120,000USD—
Unclassified Non Current Assets5,727,000USD2,088,000USD3,698,000USD5,178,000USD1,823,000USD—
Unclassified Current Liabilities-50,316,000USD-23,295,000USD1,251,000USD—2,044,000USD—
Unclassified Non Current Liabilities17,396,000USD58,641,000USD55,573,000USD10,948,000USD1,171,881,000USD1,009,379,000USD
Current Deferred Revenue—9,504,000USD4,568,000USD———
Unclassified Equity—-3,803,138,000USD-3,768,709,000USD-3,478,722,000USD-3,496,511,000USD244,567,000USD
Accounts Payable——62,000USD66,084,000USD33,583,000USD27,973,000USD
Non Current Liabilities Other———145,000USD——
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Cash flow Quarterly

Exact reported values; units shown beside each amount. Missing values are —.
MetricQ1 20262026-03-31 · USDQ4 20252025-12-31 · USDQ3 20252025-09-30 · USDQ2 20252025-06-30 · USDQ1 20252025-03-31 · USDQ4 20242024-12-31 · USDQ3 20242024-09-30 · USDQ2 20242024-06-30 · USD
Net Income-581,713,000USD-546,598,000USD18,451,000USD108,268,000USD-348,622,000USD158,461,000USD-67,272,000USD-116,394,000USD
Depreciation2,227,000USD949,000USD1,815,000USD2,189,000USD2,114,000USD2,148,000USD2,044,000USD2,294,000USD
Stock Based Compensation5,603,000USD4,682,000USD3,130,000USD3,256,000USD5,133,000USD4,699,000USD5,698,000USD8,900,000USD
Other Non Cash Items556,882,999USD546,598,000USD-15,552,000USD-124,291,000USD328,970,000USD-188,288,000USD48,094,000USD103,883,000USD
Change To Account Receivables391,604,000USD—1,782,229,000USD596,379,000USD-3,123,000USD-13,436,000USD-4,411,000USD33,157,000USD
Change To Inventory6,005,000USD62,993,000USD-11,606,000USD-9,464,000USD282,844,000USD-76,091,000USD26,788,000USD-31,825,000USD
Change In Working Capital99,749,000USD63,823,000USD-54,467,000USD27,583,000USD8,826,000USD61,650,000USD1,661,000USD14,779,000USD
Total Cash From Operating Activities77,145,999USD61,829,000USD-46,623,000USD17,005,000USD-3,579,000USD38,670,000USD-9,775,000USD13,462,000USD
Capital Expenditures-411,999USD-7,779,000USD-2,096,000USD-227,000USD-41,687,000USD-3,155,000USD-172,000USD-42,000USD
Free Cash Flow76,734,000USD54,050,000USD-48,719,000USD16,778,000USD-45,266,000USD35,515,000USD-9,947,000USD13,420,000USD
Investments-6,449,000USD-19,999,000USD42,873,000USD-227,000USD-12,514,000USD-35,822,000USD1,468,000USD-9,851,000USD
Total Cashflows From Investing Activities-3,403,000USD—42,873,000USD-227,000USD-12,514,000USD-35,822,000USD1,296,000USD-9,851,000USD
Net Borrowings-51,126,000USD2,999,000USD-1,202,000USD-1,532,000USD23,669,000USD-1,305,000USD-1,458,000USD—
Total Cash From Financing Activities-49,777,000USD-7,180,000USD48,077,000USD-11,931,000USD13,429,000USD-3,296,000USD-11,336,000USD14,756,000USD
Dividends Paid0USD0USD0USD0USD0USD0USD0USD0USD
Issuance Of Capital Stock1,349,000USD0USD——0USD———
Change In Cash-11,676,000USD-102,501,000USD44,642,000USD4,971,000USD-2,895,000USD-148,000USD-19,815,000USD18,367,000USD
Begin Period Cash Flow104,731,000USD102,501,000USD57,859,000USD52,888,000USD55,783,000USD55,931,000USD75,746,000USD57,379,000USD
End Period Cash Flow93,055,000USD130,502,000USD102,501,000USD57,859,000USD52,888,000USD55,783,000USD55,931,000USD75,746,000USD
Other Cashflows From Investing Activities4,345,000USD—99,000USD-173,000USD-11,043,000USD-9,616,000USD-80,000USD-10,001,000USD
Other Cashflows From Financing Activities-1,126,000USD—-9,915,000USD-10,399,000USD-10,240,000USD-1,991,000USD-9,878,000USD-9,063,000USD
Unclassified Operating Cash Flow-5,603,000USD-7,625,000USD——————
Unclassified Financing Cash Flow1,126,000USD-10,179,000USD59,194,000USD————23,819,000USD
Unclassified Investing Cash Flow——1,997,000USD—52,730,000USD12,771,000USD—10,043,000USD
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Cash flow Yearly

Exact reported values; units shown beside each amount. Missing values are —.
MetricFY 20252025-12-31 · USDFY 20242024-12-31 · USDFY 20232023-12-31 · USDFY 20222022-12-31 · USDFY 20212021-12-31 · USDFY 20202020-12-31 · USD
Net Income-764,681,000USD79,564,000USD1,300,015,000USD-4,245,884,000USD-1,401,247,000USD-119,022,000USD
Depreciation7,067,000USD8,547,000USD5,423,000USD3,601,000USD471,000USD—
Stock Based Compensation16,201,000USD22,587,000USD6,173,000USD17,789,000USD44,795,000USD—
Other Non Cash Items764,681,000USD-153,757,000USD-1,351,261,000USD4,166,993,000USD1,169,143,000USD118,872,000USD
Change To Inventory324,767,000USD-49,341,000USD139,187,000USD326,795,000USD-23,706,000USD—
Change In Working Capital45,765,000USD13,080,000USD-87,018,000USD252,426,000USD65,892,000USD—
Total Cash From Operating Activities28,632,000USD-29,979,000USD-126,668,000USD194,925,000USD-120,946,000USD-150,000USD
Capital Expenditures-51,789,000USD-3,711,000USD-966,000USD-1,286,000USD-334,310,000USD0USD
Free Cash Flow-23,157,000USD-33,690,000USD-127,634,000USD193,639,000USD-455,256,000USD-150,000USD
Investments23,594,000USD-45,084,000USD3,924,000USD-1,286,000USD1,502,939,000USD—
Net Borrowings23,934,000USD20,116,000USD-675,025,000USD-2,297,000USD31,180,000USD—
Total Cash From Financing Activities42,395,000USD-980,000USD-1,212,652,000USD-7,732,000USD-340,355,000USD1,308,000,000USD
Dividends Paid0USD0USD-534,644,000USD0USD-371,250,000USD—
Issuance Of Capital Stock59,194,000USD0USD0USD—0USD—
Change In Cash-55,783,000USD-75,743,000USD-1,335,396,000USD185,907,000USD1,041,638,000USD—
Begin Period Cash Flow55,783,000USD131,526,000USD1,466,922,000USD1,281,015,000USD239,377,000USD—
End Period Cash Flow130,502,000USD55,783,000USD131,526,000USD1,466,922,000USD1,281,015,000USD239,377,000USD
Unclassified Operating Cash Flow-40,401,000USD—————
Unclassified Financing Cash Flow-40,733,000USD—————
Change To Account Receivables—-28,534,000USD65,896,000USD-83,592,000USD——
Total Cashflows From Investing Activities—-45,084,000USD3,924,000USD-1,286,000USD1,502,939,000USD128,412,000USD
Other Cashflows From Investing Activities—-15,235,000USD32,000USD—1,505,025,000USD18,000USD
Other Cashflows From Financing Activities—-21,096,000USD-2,983,000USD-5,435,000USD-285,000USD1,308,000,000USD
Unclassified Investing Cash Flow—18,946,000USD—1,286,000USD-1,170,715,000USD128,394,000USD
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Operating metrics

No operating metrics are currently published for this company.

Revenue breakdown

No revenue breakdown is currently published for this company.

Periods follow company fiscal calendars. Quarterly, annual and year-to-date amounts are shown separately. Missing values are not zero. Data may be delayed, incomplete or corrected; follow the disclosure links to verify figures.