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NU Nu Holdings

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  • 11.575
  • +0.365+3.26%
Trading Feb 26 09:45 ET
55.78BMarket Cap28.72P/E (TTM)

Nu Holdings Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
Assets
Cash cash equivalents and federal funds sold
19.14%15.93B
19.14%15.93B
59.39%14.45B
68.79%15.2B
86.28%13.04B
91.91%13.37B
91.91%13.37B
62.73%9.07B
70.82%9.01B
61.98%7B
-Cash and cash equivalents
1.99%13.64B
1.99%13.64B
35.96%12.32B
58.79%13.61B
87.65%13.04B
94.04%13.37B
94.04%13.37B
121.92%9.06B
115.37%8.57B
118.20%6.95B
-Money market investments
3,756,960.66%2.29B
3,756,960.66%2.29B
45,165.67%2.13B
267.85%1.59B
-99.82%60K
-99.90%61K
-99.90%61K
-99.68%4.71M
-66.13%431.48M
-97.03%33.2M
-Restricted cash and investments
62.89%5.71M
62.89%5.71M
40.85%4.5M
16.82%3.84M
-81.55%3.65M
-81.41%3.51M
-81.41%3.51M
-82.37%3.2M
-82.36%3.29M
-3.99%19.78M
Receivables
-4.41%13.89B
-4.41%13.89B
11.10%13.83B
8.47%13B
36.60%14.23B
61.45%14.53B
61.45%14.53B
74.60%12.45B
82.44%11.99B
65.41%10.42B
-Accounts receivable
-1.25%12.26B
-1.25%12.26B
20.90%12.69B
15.78%12.03B
39.73%12.8B
50.78%12.41B
50.78%12.41B
50.19%10.5B
60.34%10.39B
46.89%9.16B
-Other receivables
-22.93%1.63B
-22.93%1.63B
-41.56%1.14B
-39.01%976.14M
13.81%1.43B
175.88%2.12B
175.88%2.12B
1,279.03%1.95B
1,631.52%1.6B
1,908.39%1.26B
Prepaid assets
-14.00%153.14M
-14.00%153.14M
-11.81%195.17M
1.26%205.96M
123.06%210.87M
110.98%178.08M
110.98%178.08M
247.30%221.31M
144.72%203.4M
25.81%94.54M
Net loan
66.22%5.32B
66.22%5.32B
83.66%4.94B
64.73%4.01B
91.14%3.86B
91.00%3.2B
91.00%3.2B
67.48%2.69B
44.64%2.43B
21.23%2.02B
-Gross loan
64.70%6.12B
64.70%6.12B
84.16%5.69B
65.90%4.63B
91.61%4.48B
87.90%3.71B
87.90%3.71B
62.04%3.09B
42.99%2.79B
40.17%2.34B
-Allowance for loans and lease losses
55.15%794.57M
55.15%794.57M
87.53%752.61M
73.86%623.45M
94.64%614.89M
70.58%512.13M
70.58%512.13M
33.05%401.33M
32.68%358.6M
--315.91M
Securities and investments
22.66%11.54B
22.66%11.54B
34.13%11.98B
23.14%9.58B
19.12%9.66B
-10.53%9.41B
-10.53%9.41B
-11.84%8.93B
-23.33%7.78B
-22.09%8.11B
-Available for sale securities
1,675.00%10.73B
1,675.00%10.73B
195.30%959.77M
377.80%1.42B
338.33%861.89M
6.03%604.51M
6.03%604.51M
-72.88%325.02M
-76.99%297.33M
-82.94%196.63M
-Short term investments
-90.78%812.2M
-90.78%812.2M
28.04%11.02B
9.04%8.16B
11.19%8.8B
-11.47%8.81B
-11.47%8.81B
-3.65%8.61B
-15.49%7.48B
-14.52%7.92B
Long term equity investment
--99.37M
--99.37M
----
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----
----
----
----
----
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Derivative assets
247.58%75.46M
247.58%75.46M
1,112.04%195.27M
5.05%27.54M
57.65%21.08M
-43.75%21.71M
-43.75%21.71M
-56.32%16.11M
-74.67%26.22M
-93.62%13.37M
Net PPE
-33.73%46.22M
-33.73%46.22M
-13.69%53.48M
8.82%56.22M
39.50%65.48M
50.12%69.75M
50.12%69.75M
63.44%61.96M
27.41%51.66M
26.21%46.94M
-Gross PPE
-33.73%46.22M
-33.73%46.22M
-13.69%53.48M
8.82%56.22M
39.50%65.48M
50.12%69.75M
50.12%69.75M
63.44%61.96M
27.41%51.66M
26.21%46.94M
Goodwill and other intangible assets
9.88%761.9M
9.88%761.9M
18.21%798.43M
7.94%703.59M
15.04%704.97M
19.65%693.42M
19.65%693.42M
19.48%675.42M
17.02%651.85M
15.59%612.79M
-Goodwill
4.21%414.29M
4.21%414.29M
10.89%440.79M
0.03%397.6M
0.02%397.57M
0.04%397.54M
0.04%397.54M
0.04%397.51M
-2.96%397.47M
-2.95%397.49M
-Other intangible assets
17.49%347.62M
17.49%347.62M
28.68%357.64M
20.29%305.99M
42.78%307.4M
62.43%295.88M
62.43%295.88M
65.44%277.92M
72.54%254.38M
78.58%215.3M
Other assets
-87.35%31.48M
-87.35%31.48M
29.82%31.56M
75.37%83.69M
138.74%82.03M
362.02%248.78M
362.02%248.78M
-47.29%24.31M
81.66%47.72M
17.93%34.36M
Total assets
14.79%49.93B
14.79%49.93B
36.27%48.64B
33.31%44.8B
48.66%43.84B
45.31%43.5B
45.31%43.5B
37.24%35.69B
33.43%33.61B
21.57%29.49B
Liabilities
Total deposits
21.80%28.86B
21.80%28.86B
48.13%28.32B
39.90%25.23B
53.92%24.25B
49.86%23.69B
49.86%23.69B
36.16%19.12B
35.66%18.03B
25.09%15.76B
Federal funds purchased and securities sold under agreement to repurchase
46.63%308.58M
46.63%308.58M
204.78%482.36M
327.58%619.66M
336.29%628.95M
6.70%210.45M
6.70%210.45M
243.58%158.27M
756.87%144.92M
4,404.97%144.16M
Payables
-4.76%10.68B
-4.76%10.68B
11.07%9.77B
14.77%9.67B
41.22%10.07B
45.86%11.21B
45.86%11.21B
41.52%8.8B
36.98%8.43B
17.64%7.13B
-Accounts payable
-4.32%9.33B
-4.32%9.33B
9.21%8.56B
14.81%8.9B
39.30%9.57B
38.28%9.76B
38.28%9.76B
32.92%7.83B
30.66%7.75B
16.06%6.87B
-Total tax payable
-15.28%1.1B
-15.28%1.1B
11.77%948.54M
3.61%582.48M
23.59%320.38M
154.56%1.3B
154.56%1.3B
162.44%848.68M
155.66%562.21M
84.11%259.22M
-Other payable
54.67%244.64M
54.67%244.64M
131.69%269.26M
67.66%190.84M
--177.47M
28.84%158.17M
28.84%158.17M
--116.22M
--113.82M
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Current accrued expenses
7.97%180.18M
7.97%180.18M
35.78%222.53M
33.83%200.78M
89.11%191.54M
84.22%166.88M
84.22%166.88M
52.39%163.9M
70.36%150.03M
-12.38%101.29M
Current debt and capital lease obligation
96.21%222.88M
96.21%222.88M
152.30%217.08M
492.52%252.71M
--97.87M
196.37%113.6M
196.37%113.6M
--86.04M
--42.65M
----
-Current debt
96.21%222.88M
96.21%222.88M
152.30%217.08M
492.52%252.71M
--97.87M
196.37%113.6M
196.37%113.6M
--86.04M
--42.65M
----
Trading liabilities
--0
--0
--0
-2.02%3.69M
36.08%3.99M
-65.34%3.99M
-65.34%3.99M
-80.54%3.72M
-79.70%3.77M
-85.50%2.93M
Long term provisions
72.62%52.04M
72.62%52.04M
41.35%50.55M
36.16%41.54M
80.22%36.02M
-15.11%30.15M
-15.11%30.15M
106.64%35.76M
76.48%30.51M
5.76%19.99M
Long term debt and capital lease obligation
-57.91%355.07M
-57.91%355.07M
-69.73%312.32M
-22.14%576.94M
27.67%855.98M
48.63%843.62M
48.63%843.62M
111.96%1.03B
49.43%741.04M
299.18%670.48M
-Long term debt
-59.23%328.87M
-59.23%328.87M
-71.75%282.45M
-24.40%545.72M
25.97%820.3M
47.41%806.68M
47.41%806.68M
113.66%999.83M
53.30%721.87M
341.05%651.18M
-Long term capital lease obligation
-29.09%26.2M
-29.09%26.2M
-6.78%29.87M
62.87%31.22M
84.86%35.68M
81.51%36.94M
81.51%36.94M
69.89%32.04M
-23.38%19.17M
-5.02%19.3M
Non current deferred liabilities
-4.07%276.06M
-4.07%276.06M
101.05%274.33M
79.34%250.94M
211.29%295.98M
75.90%287.79M
75.90%287.79M
73.18%136.45M
75.18%139.93M
14.83%95.08M
Derivative product liabilities
14.75%32.33M
14.75%32.33M
169.27%142.11M
-61.33%16.13M
165.74%27.49M
198.92%28.17M
198.92%28.17M
1,203.73%52.78M
-51.78%41.72M
-94.16%10.34M
Other liabilities
163.28%1.32B
163.28%1.32B
449.62%1.2B
385.72%1.02B
64.92%573.73M
15.88%501.99M
15.88%501.99M
-7.81%218.18M
3.10%209.6M
55.91%347.88M
Total liabilities
14.00%42.28B
14.00%42.28B
37.54%40.99B
35.46%37.88B
52.53%37.04B
48.11%37.09B
48.11%37.09B
40.23%29.8B
36.74%27.96B
24.73%24.28B
Shareholders'equity
Share capital
0.00%84K
0.00%84K
0.00%84K
0.00%84K
1.20%84K
1.20%84K
1.20%84K
1.20%84K
1.20%84K
0.00%83K
-common stock
0.00%84K
0.00%84K
0.00%84K
0.00%84K
1.20%84K
1.20%84K
1.20%84K
1.20%84K
1.20%84K
0.00%83K
Paid-in capital
1.63%5.05B
1.63%5.05B
1.49%5.05B
0.09%4.98B
0.18%4.97B
0.18%4.97B
0.18%4.97B
0.17%4.97B
0.17%4.97B
0.11%4.97B
Retained earnings
167.87%3.42B
167.87%3.42B
220.74%2.85B
312.40%2.25B
567.50%1.72B
1,877.41%1.28B
1,877.41%1.28B
2,035.25%887.81M
670.05%546.74M
320.10%257.09M
Gains losses not affecting retained earnings
-629.42%-828.17M
-629.42%-828.17M
-941.95%-249.28M
-341.58%-306.78M
874.15%111.83M
213.64%156.43M
213.64%156.43M
117.98%29.61M
198.76%126.99M
73.64%-14.45M
Total stockholders'equity
19.35%7.65B
19.35%7.65B
29.80%7.64B
22.66%6.92B
30.61%6.8B
30.99%6.41B
30.99%6.41B
23.92%5.89B
19.13%5.64B
8.76%5.21B
Non controlling interests
--787K
--787K
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Total equity
19.37%7.65B
19.37%7.65B
29.80%7.64B
22.66%6.92B
30.61%6.8B
30.99%6.41B
30.99%6.41B
23.92%5.89B
19.13%5.64B
8.72%5.21B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023
Assets
Cash cash equivalents and federal funds sold 19.14%15.93B19.14%15.93B59.39%14.45B68.79%15.2B86.28%13.04B91.91%13.37B91.91%13.37B62.73%9.07B70.82%9.01B61.98%7B
-Cash and cash equivalents 1.99%13.64B1.99%13.64B35.96%12.32B58.79%13.61B87.65%13.04B94.04%13.37B94.04%13.37B121.92%9.06B115.37%8.57B118.20%6.95B
-Money market investments 3,756,960.66%2.29B3,756,960.66%2.29B45,165.67%2.13B267.85%1.59B-99.82%60K-99.90%61K-99.90%61K-99.68%4.71M-66.13%431.48M-97.03%33.2M
-Restricted cash and investments 62.89%5.71M62.89%5.71M40.85%4.5M16.82%3.84M-81.55%3.65M-81.41%3.51M-81.41%3.51M-82.37%3.2M-82.36%3.29M-3.99%19.78M
Receivables -4.41%13.89B-4.41%13.89B11.10%13.83B8.47%13B36.60%14.23B61.45%14.53B61.45%14.53B74.60%12.45B82.44%11.99B65.41%10.42B
-Accounts receivable -1.25%12.26B-1.25%12.26B20.90%12.69B15.78%12.03B39.73%12.8B50.78%12.41B50.78%12.41B50.19%10.5B60.34%10.39B46.89%9.16B
-Other receivables -22.93%1.63B-22.93%1.63B-41.56%1.14B-39.01%976.14M13.81%1.43B175.88%2.12B175.88%2.12B1,279.03%1.95B1,631.52%1.6B1,908.39%1.26B
Prepaid assets -14.00%153.14M-14.00%153.14M-11.81%195.17M1.26%205.96M123.06%210.87M110.98%178.08M110.98%178.08M247.30%221.31M144.72%203.4M25.81%94.54M
Net loan 66.22%5.32B66.22%5.32B83.66%4.94B64.73%4.01B91.14%3.86B91.00%3.2B91.00%3.2B67.48%2.69B44.64%2.43B21.23%2.02B
-Gross loan 64.70%6.12B64.70%6.12B84.16%5.69B65.90%4.63B91.61%4.48B87.90%3.71B87.90%3.71B62.04%3.09B42.99%2.79B40.17%2.34B
-Allowance for loans and lease losses 55.15%794.57M55.15%794.57M87.53%752.61M73.86%623.45M94.64%614.89M70.58%512.13M70.58%512.13M33.05%401.33M32.68%358.6M--315.91M
Securities and investments 22.66%11.54B22.66%11.54B34.13%11.98B23.14%9.58B19.12%9.66B-10.53%9.41B-10.53%9.41B-11.84%8.93B-23.33%7.78B-22.09%8.11B
-Available for sale securities 1,675.00%10.73B1,675.00%10.73B195.30%959.77M377.80%1.42B338.33%861.89M6.03%604.51M6.03%604.51M-72.88%325.02M-76.99%297.33M-82.94%196.63M
-Short term investments -90.78%812.2M-90.78%812.2M28.04%11.02B9.04%8.16B11.19%8.8B-11.47%8.81B-11.47%8.81B-3.65%8.61B-15.49%7.48B-14.52%7.92B
Long term equity investment --99.37M--99.37M--------------------------------
Derivative assets 247.58%75.46M247.58%75.46M1,112.04%195.27M5.05%27.54M57.65%21.08M-43.75%21.71M-43.75%21.71M-56.32%16.11M-74.67%26.22M-93.62%13.37M
Net PPE -33.73%46.22M-33.73%46.22M-13.69%53.48M8.82%56.22M39.50%65.48M50.12%69.75M50.12%69.75M63.44%61.96M27.41%51.66M26.21%46.94M
-Gross PPE -33.73%46.22M-33.73%46.22M-13.69%53.48M8.82%56.22M39.50%65.48M50.12%69.75M50.12%69.75M63.44%61.96M27.41%51.66M26.21%46.94M
Goodwill and other intangible assets 9.88%761.9M9.88%761.9M18.21%798.43M7.94%703.59M15.04%704.97M19.65%693.42M19.65%693.42M19.48%675.42M17.02%651.85M15.59%612.79M
-Goodwill 4.21%414.29M4.21%414.29M10.89%440.79M0.03%397.6M0.02%397.57M0.04%397.54M0.04%397.54M0.04%397.51M-2.96%397.47M-2.95%397.49M
-Other intangible assets 17.49%347.62M17.49%347.62M28.68%357.64M20.29%305.99M42.78%307.4M62.43%295.88M62.43%295.88M65.44%277.92M72.54%254.38M78.58%215.3M
Other assets -87.35%31.48M-87.35%31.48M29.82%31.56M75.37%83.69M138.74%82.03M362.02%248.78M362.02%248.78M-47.29%24.31M81.66%47.72M17.93%34.36M
Total assets 14.79%49.93B14.79%49.93B36.27%48.64B33.31%44.8B48.66%43.84B45.31%43.5B45.31%43.5B37.24%35.69B33.43%33.61B21.57%29.49B
Liabilities
Total deposits 21.80%28.86B21.80%28.86B48.13%28.32B39.90%25.23B53.92%24.25B49.86%23.69B49.86%23.69B36.16%19.12B35.66%18.03B25.09%15.76B
Federal funds purchased and securities sold under agreement to repurchase 46.63%308.58M46.63%308.58M204.78%482.36M327.58%619.66M336.29%628.95M6.70%210.45M6.70%210.45M243.58%158.27M756.87%144.92M4,404.97%144.16M
Payables -4.76%10.68B-4.76%10.68B11.07%9.77B14.77%9.67B41.22%10.07B45.86%11.21B45.86%11.21B41.52%8.8B36.98%8.43B17.64%7.13B
-Accounts payable -4.32%9.33B-4.32%9.33B9.21%8.56B14.81%8.9B39.30%9.57B38.28%9.76B38.28%9.76B32.92%7.83B30.66%7.75B16.06%6.87B
-Total tax payable -15.28%1.1B-15.28%1.1B11.77%948.54M3.61%582.48M23.59%320.38M154.56%1.3B154.56%1.3B162.44%848.68M155.66%562.21M84.11%259.22M
-Other payable 54.67%244.64M54.67%244.64M131.69%269.26M67.66%190.84M--177.47M28.84%158.17M28.84%158.17M--116.22M--113.82M----
Current accrued expenses 7.97%180.18M7.97%180.18M35.78%222.53M33.83%200.78M89.11%191.54M84.22%166.88M84.22%166.88M52.39%163.9M70.36%150.03M-12.38%101.29M
Current debt and capital lease obligation 96.21%222.88M96.21%222.88M152.30%217.08M492.52%252.71M--97.87M196.37%113.6M196.37%113.6M--86.04M--42.65M----
-Current debt 96.21%222.88M96.21%222.88M152.30%217.08M492.52%252.71M--97.87M196.37%113.6M196.37%113.6M--86.04M--42.65M----
Trading liabilities --0--0--0-2.02%3.69M36.08%3.99M-65.34%3.99M-65.34%3.99M-80.54%3.72M-79.70%3.77M-85.50%2.93M
Long term provisions 72.62%52.04M72.62%52.04M41.35%50.55M36.16%41.54M80.22%36.02M-15.11%30.15M-15.11%30.15M106.64%35.76M76.48%30.51M5.76%19.99M
Long term debt and capital lease obligation -57.91%355.07M-57.91%355.07M-69.73%312.32M-22.14%576.94M27.67%855.98M48.63%843.62M48.63%843.62M111.96%1.03B49.43%741.04M299.18%670.48M
-Long term debt -59.23%328.87M-59.23%328.87M-71.75%282.45M-24.40%545.72M25.97%820.3M47.41%806.68M47.41%806.68M113.66%999.83M53.30%721.87M341.05%651.18M
-Long term capital lease obligation -29.09%26.2M-29.09%26.2M-6.78%29.87M62.87%31.22M84.86%35.68M81.51%36.94M81.51%36.94M69.89%32.04M-23.38%19.17M-5.02%19.3M
Non current deferred liabilities -4.07%276.06M-4.07%276.06M101.05%274.33M79.34%250.94M211.29%295.98M75.90%287.79M75.90%287.79M73.18%136.45M75.18%139.93M14.83%95.08M
Derivative product liabilities 14.75%32.33M14.75%32.33M169.27%142.11M-61.33%16.13M165.74%27.49M198.92%28.17M198.92%28.17M1,203.73%52.78M-51.78%41.72M-94.16%10.34M
Other liabilities 163.28%1.32B163.28%1.32B449.62%1.2B385.72%1.02B64.92%573.73M15.88%501.99M15.88%501.99M-7.81%218.18M3.10%209.6M55.91%347.88M
Total liabilities 14.00%42.28B14.00%42.28B37.54%40.99B35.46%37.88B52.53%37.04B48.11%37.09B48.11%37.09B40.23%29.8B36.74%27.96B24.73%24.28B
Shareholders'equity
Share capital 0.00%84K0.00%84K0.00%84K0.00%84K1.20%84K1.20%84K1.20%84K1.20%84K1.20%84K0.00%83K
-common stock 0.00%84K0.00%84K0.00%84K0.00%84K1.20%84K1.20%84K1.20%84K1.20%84K1.20%84K0.00%83K
Paid-in capital 1.63%5.05B1.63%5.05B1.49%5.05B0.09%4.98B0.18%4.97B0.18%4.97B0.18%4.97B0.17%4.97B0.17%4.97B0.11%4.97B
Retained earnings 167.87%3.42B167.87%3.42B220.74%2.85B312.40%2.25B567.50%1.72B1,877.41%1.28B1,877.41%1.28B2,035.25%887.81M670.05%546.74M320.10%257.09M
Gains losses not affecting retained earnings -629.42%-828.17M-629.42%-828.17M-941.95%-249.28M-341.58%-306.78M874.15%111.83M213.64%156.43M213.64%156.43M117.98%29.61M198.76%126.99M73.64%-14.45M
Total stockholders'equity 19.35%7.65B19.35%7.65B29.80%7.64B22.66%6.92B30.61%6.8B30.99%6.41B30.99%6.41B23.92%5.89B19.13%5.64B8.76%5.21B
Non controlling interests --787K--787K--------------------------------
Total equity 19.37%7.65B19.37%7.65B29.80%7.64B22.66%6.92B30.61%6.8B30.99%6.41B30.99%6.41B23.92%5.89B19.13%5.64B8.72%5.21B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----------Unqualified Opinion--------

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