SEATW (STOCKS)

    Vivid Seats Inc. Warrant

    $0.059000
    +0.000000 (+0.00%)
    Prev close: $0.059000
    Company Information
    Exchange
    XNAS
    Sector
    Consumer Services
    Industry
    Movies Or Entertainment
    CEO
    Lawrence C. Fey
    Asset Type
    stocks
    Website
    Visit
    Fundamentals
    Market Cap
    Employees
    768
    P/E (TTM)
    P/B (TTM)
    Dividend Yield
    Technical Indicators
    SMA 10
    SMA 20
    SMA 50
    EMA 9
    EMA 21
    RSI
    MACD State
    Recent News

    No recent news found for this ticker.

    Financial Statements
    TTM (Mar 2026)
    Revenues $414.30M
    Benefits Costs and Expenses $1.10B
    Costs And Expenses $1.10B
    Depreciation and Amortization $50.08M
    Income/Loss From Continuing Operations After Tax -$957.14M
    Income/Loss From Continuing Operations Before Tax -$688.32M
    Income Tax Expense/Benefit $85.79M
    Income Tax Expense/Benefit, Deferred $75.00M
    Net Income/Loss -$957.14M
    Net Income/Loss Attributable To Noncontrolling Interest -$675.51M
    Net Income/Loss Attributable To Parent $816.61M
    Assets $691.74M
    Current Assets $243.27M
    Accounts Receivable $36.42M
    Inventory $28.88M
    Prepaid Expenses $11.64M
    Other Current Assets $166.33M
    Noncurrent Assets $448.47M
    Fixed Assets $11.82M
    Intangible Assets $132.37M
    Other Non-current Assets $304.27M
    Liabilities $787.13M
    Current Liabilities $371.10M
    Accounts Payable $224.77M
    Other Current Liabilities $146.33M
    Noncurrent Liabilities $416.03M
    Long-term Debt $382.63M
    Other Non-current Liabilities $33.40M
    Equity $95.39M
    Equity Attributable To Noncontrolling Interest $190.78M
    Equity Attributable To Parent -$95.39M
    Liabilities And Equity $691.74M
    Net Cash Flow From Operating Activities -$20.30M
    Net Cash Flow From Operating Activities, Continuing -$20.30M
    Net Cash Flow From Investing Activities -$15.71M
    Net Cash Flow From Investing Activities, Continuing -$15.71M
    Net Cash Flow From Financing Activities -$19.62M
    Net Cash Flow From Financing Activities, Continuing -$19.62M
    Net Cash Flow -$55.63M
    Net Cash Flow, Continuing -$55.63M
    Other Comprehensive Income/Loss -$42.00K