NYSE · RSICommunication ServicesAmusement & Recreation

Rush Street Interactive financials

$19.66+0.56%
Close Sep 29, 2026 · split-adjusted

Revenue

Net income

Income statement & cash flow

Fiscal yearFY25
Dec 31
FY24
Dec 31
FY23
Dec 31
FY22
Dec 31
FY21
Dec 31
FY20
Dec 31
Revenue$1.13B$924.1M$691.2M$592.2M$488.1M$278.5M
Gross profit$392.8M$322.0M$226.1M$177.5M$156.0M$87.6M
Gross margin34.6%34.9%32.7%30.0%32.0%31.5%
Operating income$87.4M$25.0M-$51.6M-$124.8M-$94.3M-$133.4M
Net income$33.3M$2.4M-$18.3M-$38.6M-$19.5M$1.1M
Net margin2.9%0.3%−2.6%−6.5%−4.0%0.4%
Diluted EPS$0.31$0.03$-0.27$-0.61$-0.51$-0.01
EBITDA$127.4M$57.3M-$21.9M-$110.5M-$90.0M-$131.3M
Operating cash flow$165.0M$106.4M-$5.9M-$60.3M-$48.2M$16.2M
Free cash flow$164.2M$105.5M-$7.2M-$64.5M-$52.0M$14.3M
Diluted shares236.1M88.4M68.5M63.5M57.4M52.2M

Balance sheet

Period endDec 31Dec 31Dec 31Dec 31Dec 31Dec 31
Cash & equivalents$336.3M$229.2M$168.3M$179.7M$281.0M$255.6M
Short-term investments$0.00$0.00$0.00$0.00——
Total debt$0.00$0.00$0.00$0.00$0.00$0.00
Total assets$658.5M$379.5M$318.6M$350.3M$408.7M$308.6M
Total liabilities$355.0M$181.2M$152.5M$159.5M$101.0M$575.9M
Shareholders' equity$303.5M$198.3M$166.1M$190.9M$307.7M-$267.3M

From SEC filings via Massive. Fiscal periods follow the company's own calendar; free cash flow is operating cash flow minus capital expenditure.

Sources: Massive / Polygon daily aggregates (split-adjusted) · SEC filings via Massive · FINRA settlements via Massive · Financial Modeling Prep. Figures are dated where shown; research is informational, not investment advice. Methodology