US Stock MarketDetailed Quotes

RKT Rocket

Watchlist
  • 12.110
  • -0.400-3.20%
Close Dec 13 16:00 ET
  • 12.160
  • +0.050+0.41%
Post 20:02 ET
1.77BMarket Cap-100.92P/E (TTM)

Rocket Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(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
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
Assets
Cash cash equivalents and federal funds sold
48.82%3.53B
37.08%3.28B
-3.45%2.5B
11.45%2.74B
11.45%2.74B
0.41%2.37B
1.42%2.39B
-33.37%2.58B
-40.54%2.46B
-40.54%2.46B
-Cash and cash equivalents
28.31%1.23B
48.34%1.31B
-3.58%861.41M
53.46%1.11B
53.46%1.11B
15.90%957.25M
-3.56%882.78M
-61.34%893.38M
-66.11%722.29M
-66.11%722.29M
-Money market investments
65.30%2.28B
31.73%1.95B
-1.53%1.6B
-6.64%1.53B
-6.64%1.53B
-6.16%1.38B
7.25%1.48B
9.11%1.63B
-14.37%1.64B
-14.37%1.64B
-Restricted cash and investments
-41.26%20.36M
-20.68%27.76M
-50.28%31.98M
4.46%94.96M
4.46%94.96M
-47.25%34.67M
-49.06%35M
-16.51%64.31M
12.85%90.91M
12.85%90.91M
Receivables
41.52%15.23M
-80.05%14.33M
130.08%18.57M
16.62%512.62M
16.62%512.62M
-3.76%10.76M
632.65%71.79M
-98.17%8.07M
-15.11%439.57M
-15.11%439.57M
-Notes receivable
41.52%15.23M
-80.05%14.33M
130.08%18.57M
80.90%19.53M
80.90%19.53M
-3.76%10.76M
632.65%71.79M
-25.22%8.07M
10.69%10.8M
10.69%10.8M
-Other receivables
----
----
----
15.00%493.09M
15.00%493.09M
----
----
----
-15.61%428.78M
-15.61%428.78M
Prepaid assets
----
----
----
-17.95%158.26M
-17.95%158.26M
----
----
----
14.13%192.88M
14.13%192.88M
Net loan
37.01%10.98B
12.35%9.49B
11.58%9.42B
-8.69%6.71B
-8.69%6.71B
-12.17%8.01B
-31.92%8.44B
-21.02%8.44B
-62.00%7.34B
-62.00%7.34B
-Gross loan
37.01%10.98B
12.35%9.49B
11.58%9.42B
-8.69%6.71B
-8.69%6.71B
-12.17%8.01B
-31.92%8.44B
-21.02%8.44B
-62.00%7.34B
-62.00%7.34B
Securities and investments
----
----
----
-2.04%39.52M
-2.04%39.52M
----
----
----
-3.67%40.34M
-3.67%40.34M
-Available for sale securities
----
----
----
-2.04%39.52M
-2.04%39.52M
----
----
----
-3.67%40.34M
-3.67%40.34M
Derivative assets
-9.68%235.86M
-21.85%183.41M
8.63%203.37M
41.04%159.48M
41.04%159.48M
-62.60%261.13M
-39.25%234.69M
-78.75%187.21M
-79.67%113.08M
-79.67%113.08M
Net PPE
-14.03%526.01M
-13.67%547.94M
-15.52%556.88M
-6.53%598.55M
-6.53%598.55M
-6.69%611.82M
-5.59%634.68M
-2.23%659.22M
-6.14%640.38M
-6.14%640.38M
-Gross PPE
-0.72%1.12B
-0.95%1.12B
-2.84%1.11B
2.82%1.13B
2.82%1.13B
-10.93%1.13B
-10.80%1.14B
-8.74%1.15B
-11.69%1.1B
-11.69%1.1B
-Accumulated depreciation
-14.89%-598.77M
-15.18%-576.35M
-14.33%-556.73M
-15.74%-536.2M
-15.74%-536.2M
15.44%-521.17M
16.62%-500.4M
16.28%-486.94M
18.35%-463.26M
18.35%-463.26M
Foreclosed assets
----
----
----
36.48%1.53M
36.48%1.53M
----
----
----
128.46%1.12M
128.46%1.12M
Goodwill and other intangible assets
1.57%8.04B
9.24%8.4B
0.18%7.94B
-6.45%7.68B
-6.45%7.68B
9.10%7.92B
15.53%7.69B
2.95%7.92B
22.80%8.21B
22.80%8.21B
-Goodwill
-0.67%1.23B
-0.66%1.24B
-0.59%1.25B
-1.76%1.24B
-1.76%1.24B
--1.24B
--1.25B
-2.55%1.25B
-2.93%1.26B
-2.93%1.26B
-Other intangible assets
1.98%6.81B
11.16%7.16B
0.32%6.69B
-7.30%6.44B
-7.30%6.44B
-8.02%6.68B
-3.22%6.44B
4.05%6.67B
28.99%6.95B
28.99%6.95B
Other assets
34.85%1.25B
42.19%1.2B
21.81%1.05B
-16.91%93.01M
-16.91%93.01M
-53.05%927.54M
-59.05%846.2M
534.94%860.29M
12.72%111.93M
12.72%111.93M
Total assets
21.64%25.12B
13.39%23.65B
4.80%22.22B
-4.23%19.23B
-4.23%19.23B
-8.64%20.65B
-16.83%20.86B
-16.02%21.2B
-38.73%20.08B
-38.73%20.08B
Liabilities
Federal funds purchased and securities sold under agreement to repurchase
95.75%8.7B
46.17%7.53B
27.71%5.94B
-1.99%4.31B
-1.99%4.31B
-15.00%4.44B
-8.32%5.15B
-17.37%4.65B
-61.40%4.4B
-61.40%4.4B
Payables
-12.00%175.93M
31.23%205.95M
39.99%189.04M
47.30%171.35M
47.30%171.35M
-1.92%199.92M
-32.85%156.94M
-53.25%135.04M
-57.16%116.33M
-57.16%116.33M
-Accounts payable
-12.00%175.93M
31.23%205.95M
39.99%189.04M
47.30%171.35M
47.30%171.35M
-1.92%199.92M
-32.85%156.94M
-53.25%135.04M
-57.16%116.33M
-57.16%116.33M
Current debt and capital lease obligation
91.66%165.4M
264.80%182.4M
--314.85M
-52.55%319.31M
-52.55%319.31M
--86.3M
--50M
----
797.18%672.88M
797.18%672.88M
-Current debt
91.66%165.4M
264.80%182.4M
--314.85M
-52.55%319.31M
-52.55%319.31M
--86.3M
--50M
----
797.18%672.88M
797.18%672.88M
Long term provisions
3.68%99.08M
-6.41%94.36M
-11.29%95.04M
-16.12%92.39M
-16.12%92.39M
-10.03%95.57M
11.75%100.83M
32.66%107.13M
39.62%110.15M
39.62%110.15M
Long term debt and capital lease obligation
2.90%6.43B
-3.41%5.81B
-14.77%6.09B
-6.54%4.93B
-6.54%4.93B
-3.33%6.25B
-33.73%6.02B
-16.47%7.14B
-45.64%5.27B
-45.64%5.27B
-Long term debt
4.34%6.1B
-2.42%5.46B
-14.40%5.73B
-6.51%4.53B
-6.51%4.53B
-3.05%5.84B
-35.15%5.59B
-17.17%6.7B
-47.38%4.85B
-47.38%4.85B
-Long term capital lease obligation
-17.66%335.95M
-16.38%356.05M
-20.25%357.52M
-6.83%393.88M
-6.83%393.88M
-7.10%408.01M
-7.04%425.81M
-4.34%448.33M
-12.32%422.77M
-12.32%422.77M
Derivative product liabilities
286.76%62.99M
-33.35%8.51M
-74.08%22.79M
469.29%142.99M
469.29%142.99M
-80.77%16.29M
-46.66%12.77M
157.63%87.92M
26.15%25.12M
26.15%25.12M
Other liabilities
7.93%1.13B
-0.08%999.92M
-0.82%960.35M
-4.56%960.99M
-4.56%960.99M
-34.39%1.05B
-20.43%1B
-50.65%968.27M
-31.28%1.01B
-31.28%1.01B
Total liabilities
38.08%16.77B
18.77%14.83B
3.95%13.61B
-5.83%10.93B
-5.83%10.93B
-11.30%12.14B
-23.39%12.49B
-20.87%13.09B
-49.57%11.61B
-49.57%11.61B
Shareholders'equity
Share capital
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
-common stock
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
0.00%20K
Paid-in capital
17.78%373.36M
18.36%357.61M
19.03%350.81M
23.28%340.53M
23.28%340.53M
30.95%317M
33.87%302.14M
22.06%294.72M
-3.94%276.22M
-3.94%276.22M
Retained earnings
-5.37%278.96M
4.31%300.96M
6.94%300.49M
-5.36%284.3M
-5.36%284.3M
-6.83%294.77M
-6.60%288.52M
-8.11%281M
-20.53%300.39M
-20.53%300.39M
Gains losses not affecting retained earnings
-11.76%60K
41.67%85K
325.00%72K
-24.64%52K
-24.64%52K
17.24%68K
330.77%60K
-245.45%-32K
-14.81%69K
-14.81%69K
Total stockholders'equity
6.62%652.4M
11.50%658.67M
13.15%651.4M
8.36%624.9M
8.36%624.9M
9.55%611.86M
10.50%590.74M
5.19%575.7M
-13.36%576.7M
-13.36%576.7M
Non controlling interests
-2.46%7.7B
4.90%8.16B
5.63%7.96B
-2.81%7.68B
-2.81%7.68B
-5.49%7.89B
-5.63%7.77B
-7.61%7.53B
-13.14%7.9B
-13.14%7.9B
Total equity
-1.81%8.35B
5.37%8.81B
6.17%8.61B
-2.05%8.3B
-2.05%8.3B
-4.54%8.51B
-4.64%8.36B
-6.80%8.11B
-13.16%8.48B
-13.16%8.48B
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
--
--
--
--
Unqualified Opinion
--
(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(FY)Dec 31, 2022(Q4)Dec 31, 2022
Assets
Cash cash equivalents and federal funds sold 48.82%3.53B37.08%3.28B-3.45%2.5B11.45%2.74B11.45%2.74B0.41%2.37B1.42%2.39B-33.37%2.58B-40.54%2.46B-40.54%2.46B
-Cash and cash equivalents 28.31%1.23B48.34%1.31B-3.58%861.41M53.46%1.11B53.46%1.11B15.90%957.25M-3.56%882.78M-61.34%893.38M-66.11%722.29M-66.11%722.29M
-Money market investments 65.30%2.28B31.73%1.95B-1.53%1.6B-6.64%1.53B-6.64%1.53B-6.16%1.38B7.25%1.48B9.11%1.63B-14.37%1.64B-14.37%1.64B
-Restricted cash and investments -41.26%20.36M-20.68%27.76M-50.28%31.98M4.46%94.96M4.46%94.96M-47.25%34.67M-49.06%35M-16.51%64.31M12.85%90.91M12.85%90.91M
Receivables 41.52%15.23M-80.05%14.33M130.08%18.57M16.62%512.62M16.62%512.62M-3.76%10.76M632.65%71.79M-98.17%8.07M-15.11%439.57M-15.11%439.57M
-Notes receivable 41.52%15.23M-80.05%14.33M130.08%18.57M80.90%19.53M80.90%19.53M-3.76%10.76M632.65%71.79M-25.22%8.07M10.69%10.8M10.69%10.8M
-Other receivables ------------15.00%493.09M15.00%493.09M-------------15.61%428.78M-15.61%428.78M
Prepaid assets -------------17.95%158.26M-17.95%158.26M------------14.13%192.88M14.13%192.88M
Net loan 37.01%10.98B12.35%9.49B11.58%9.42B-8.69%6.71B-8.69%6.71B-12.17%8.01B-31.92%8.44B-21.02%8.44B-62.00%7.34B-62.00%7.34B
-Gross loan 37.01%10.98B12.35%9.49B11.58%9.42B-8.69%6.71B-8.69%6.71B-12.17%8.01B-31.92%8.44B-21.02%8.44B-62.00%7.34B-62.00%7.34B
Securities and investments -------------2.04%39.52M-2.04%39.52M-------------3.67%40.34M-3.67%40.34M
-Available for sale securities -------------2.04%39.52M-2.04%39.52M-------------3.67%40.34M-3.67%40.34M
Derivative assets -9.68%235.86M-21.85%183.41M8.63%203.37M41.04%159.48M41.04%159.48M-62.60%261.13M-39.25%234.69M-78.75%187.21M-79.67%113.08M-79.67%113.08M
Net PPE -14.03%526.01M-13.67%547.94M-15.52%556.88M-6.53%598.55M-6.53%598.55M-6.69%611.82M-5.59%634.68M-2.23%659.22M-6.14%640.38M-6.14%640.38M
-Gross PPE -0.72%1.12B-0.95%1.12B-2.84%1.11B2.82%1.13B2.82%1.13B-10.93%1.13B-10.80%1.14B-8.74%1.15B-11.69%1.1B-11.69%1.1B
-Accumulated depreciation -14.89%-598.77M-15.18%-576.35M-14.33%-556.73M-15.74%-536.2M-15.74%-536.2M15.44%-521.17M16.62%-500.4M16.28%-486.94M18.35%-463.26M18.35%-463.26M
Foreclosed assets ------------36.48%1.53M36.48%1.53M------------128.46%1.12M128.46%1.12M
Goodwill and other intangible assets 1.57%8.04B9.24%8.4B0.18%7.94B-6.45%7.68B-6.45%7.68B9.10%7.92B15.53%7.69B2.95%7.92B22.80%8.21B22.80%8.21B
-Goodwill -0.67%1.23B-0.66%1.24B-0.59%1.25B-1.76%1.24B-1.76%1.24B--1.24B--1.25B-2.55%1.25B-2.93%1.26B-2.93%1.26B
-Other intangible assets 1.98%6.81B11.16%7.16B0.32%6.69B-7.30%6.44B-7.30%6.44B-8.02%6.68B-3.22%6.44B4.05%6.67B28.99%6.95B28.99%6.95B
Other assets 34.85%1.25B42.19%1.2B21.81%1.05B-16.91%93.01M-16.91%93.01M-53.05%927.54M-59.05%846.2M534.94%860.29M12.72%111.93M12.72%111.93M
Total assets 21.64%25.12B13.39%23.65B4.80%22.22B-4.23%19.23B-4.23%19.23B-8.64%20.65B-16.83%20.86B-16.02%21.2B-38.73%20.08B-38.73%20.08B
Liabilities
Federal funds purchased and securities sold under agreement to repurchase 95.75%8.7B46.17%7.53B27.71%5.94B-1.99%4.31B-1.99%4.31B-15.00%4.44B-8.32%5.15B-17.37%4.65B-61.40%4.4B-61.40%4.4B
Payables -12.00%175.93M31.23%205.95M39.99%189.04M47.30%171.35M47.30%171.35M-1.92%199.92M-32.85%156.94M-53.25%135.04M-57.16%116.33M-57.16%116.33M
-Accounts payable -12.00%175.93M31.23%205.95M39.99%189.04M47.30%171.35M47.30%171.35M-1.92%199.92M-32.85%156.94M-53.25%135.04M-57.16%116.33M-57.16%116.33M
Current debt and capital lease obligation 91.66%165.4M264.80%182.4M--314.85M-52.55%319.31M-52.55%319.31M--86.3M--50M----797.18%672.88M797.18%672.88M
-Current debt 91.66%165.4M264.80%182.4M--314.85M-52.55%319.31M-52.55%319.31M--86.3M--50M----797.18%672.88M797.18%672.88M
Long term provisions 3.68%99.08M-6.41%94.36M-11.29%95.04M-16.12%92.39M-16.12%92.39M-10.03%95.57M11.75%100.83M32.66%107.13M39.62%110.15M39.62%110.15M
Long term debt and capital lease obligation 2.90%6.43B-3.41%5.81B-14.77%6.09B-6.54%4.93B-6.54%4.93B-3.33%6.25B-33.73%6.02B-16.47%7.14B-45.64%5.27B-45.64%5.27B
-Long term debt 4.34%6.1B-2.42%5.46B-14.40%5.73B-6.51%4.53B-6.51%4.53B-3.05%5.84B-35.15%5.59B-17.17%6.7B-47.38%4.85B-47.38%4.85B
-Long term capital lease obligation -17.66%335.95M-16.38%356.05M-20.25%357.52M-6.83%393.88M-6.83%393.88M-7.10%408.01M-7.04%425.81M-4.34%448.33M-12.32%422.77M-12.32%422.77M
Derivative product liabilities 286.76%62.99M-33.35%8.51M-74.08%22.79M469.29%142.99M469.29%142.99M-80.77%16.29M-46.66%12.77M157.63%87.92M26.15%25.12M26.15%25.12M
Other liabilities 7.93%1.13B-0.08%999.92M-0.82%960.35M-4.56%960.99M-4.56%960.99M-34.39%1.05B-20.43%1B-50.65%968.27M-31.28%1.01B-31.28%1.01B
Total liabilities 38.08%16.77B18.77%14.83B3.95%13.61B-5.83%10.93B-5.83%10.93B-11.30%12.14B-23.39%12.49B-20.87%13.09B-49.57%11.61B-49.57%11.61B
Shareholders'equity
Share capital 0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K
-common stock 0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K0.00%20K
Paid-in capital 17.78%373.36M18.36%357.61M19.03%350.81M23.28%340.53M23.28%340.53M30.95%317M33.87%302.14M22.06%294.72M-3.94%276.22M-3.94%276.22M
Retained earnings -5.37%278.96M4.31%300.96M6.94%300.49M-5.36%284.3M-5.36%284.3M-6.83%294.77M-6.60%288.52M-8.11%281M-20.53%300.39M-20.53%300.39M
Gains losses not affecting retained earnings -11.76%60K41.67%85K325.00%72K-24.64%52K-24.64%52K17.24%68K330.77%60K-245.45%-32K-14.81%69K-14.81%69K
Total stockholders'equity 6.62%652.4M11.50%658.67M13.15%651.4M8.36%624.9M8.36%624.9M9.55%611.86M10.50%590.74M5.19%575.7M-13.36%576.7M-13.36%576.7M
Non controlling interests -2.46%7.7B4.90%8.16B5.63%7.96B-2.81%7.68B-2.81%7.68B-5.49%7.89B-5.63%7.77B-7.61%7.53B-13.14%7.9B-13.14%7.9B
Total equity -1.81%8.35B5.37%8.81B6.17%8.61B-2.05%8.3B-2.05%8.3B-4.54%8.51B-4.64%8.36B-6.80%8.11B-13.16%8.48B-13.16%8.48B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion--------Unqualified Opinion--
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Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data. Companies involved in the creation, trade, and services of digital forms of money.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners.Displayed third-party logos, brands, or trademark images on screens or web pages are only for identification purposes and remain the property of their respective owners. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in U.S. Crypto Concept Stocks, ranked from highest to lowest based on real-time market data.