Circle Internet Group (CRCL) Margin Analysis - Discounting Cash Flows
CRCL
Circle Internet Group
CRCL (NYSE)

Years and Quarters

Years

Years

The number of historical years used to render the annual chart and tables.

Quarters

Quarters

The number of historical quarters used to render the quarterly chart and tables.

Margin Analysis Report

Margins refer to the ratio between a financial report item and the revenue (example: Net Income Margin = Net Income / Revenue).

This analysis provides annual and quarterly sections for reporting key financial margins.

Annual Section

The annual section uses annual data to calculate margins and growth rates.

Monetary values in USD

amounts except #

LTM
Apr 20
2025
Dec 31
2024
Dec 31
2023
Dec 31
2022
Dec 31
Revenue 2,747 2,747 1,676 1,450 772.1
Revenue Growth Rate 0% 63.86% 15.57% 87.87% 809.6%
Cost of Revenue 2,534 2,585 1,281 1,024 522.3
Gross Profit 212.6 161.5 395.5 426.7 249.7
Gross Margin 7.74% 5.88% 23.59% 29.42% 32.35%
Operating Income -95.05 -91.14 167.2 269.5 -38.12
Operating Margin -3.46% -3.32% 9.97% 18.58% -4.94%
Net Income -69.51 -69.51 155.7 267.6 -768.8
Net Margin -2.53% -2.53% 9.29% 18.45% -99.58%

Monetary values in USD

amounts except #

LTM
Apr 20
2025
Dec 31
2024
Dec 31
2023
Dec 31
2022
Dec 31
Revenue 2,747 2,747 1,676 1,450 772.1
Cash from Operating Activities 542.1 542.1 344.6 139.6 -72.69
Cash from Operating Activities Margin 19.74% 19.74% 20.56% 9.62% -9.42%
Free Cash Flow 542.1 529.7 305.5 106.7 -91.01
Free Cash Flow Margin 19.74% 19.29% 18.22% 7.36% -11.79%
Depreciation and Amortization 76.63 76.63 50.85 34.89 13.28
Depreciation and Amortization Margin 2.79% 2.79% 3.03% 2.4% 1.72%
Capital Expenditure 0 -12.43 -39.1 -32.86 -18.32
Capital Expenditure Margin 0% -0.453% -2.33% -2.27% -2.37%

Annual Chart

Monetary values in USD

Quarterly Section

The quarterly section uses quarterly data to calculate margins and growth rates.

Monetary values in USD

amounts except #

2025 (Q4)
Dec 31
2025 (Q3)
Sep 30
2025 (Q2)
Jun 30
2025 (Q1)
Mar 31
2024 (Q4)
Dec 31
2024 (Q3)
Sep 30
2024 (Q2)
Jun 30
2024 (Q1)
Mar 31
Revenue 770.2 739.8 658.1 578.6 435.4 445.8
Revenue Growth Rate 4.12% 12.41% 13.74% 32.89% -2.33%
Cost of Revenue 623.6 576.9 910.3 423.3 373.9 323
Gross Profit 146.7 162.9 -252.3 155.3 61.43 122.8
Gross Margin 19.04% 22.01% -38.33% 26.84% 14.11% 27.55%
Operating Income 56.57 81.02 -325.6 92.94 0.794 63.8
Operating Margin 7.34% 10.95% -49.47% 16.06% 0.182% 14.31%
Net Income 133.4 214.4 -482.1 64.79 3.11 71
Net Margin 17.32% 28.98% -73.26% 11.2% 0.714% 15.93%

Monetary values in USD

amounts except #

2025 (Q4)
Dec 31
2025 (Q3)
Sep 30
2025 (Q2)
Jun 30
2025 (Q1)
Mar 31
2024 (Q4)
Dec 31
2024 (Q3)
Sep 30
2024 (Q2)
Jun 30
2024 (Q1)
Mar 31
Revenue 770.2 739.8 658.1 578.6 435.4 445.8
Cash from Operating Activities 249.1 -10.68 247.1 56.59
0 47.79
Cash from Operating Activities Margin 32.34% -1.44% 37.55% 9.78%
0%
Free Cash Flow 264.7 -26.33 258.8 44.92
0 38.77
Free Cash Flow Margin 34.37% -3.56% 39.33% 7.76%
0%
Depreciation and Amortization 25.54 23 14.21 13.88
0 12.63
Depreciation and Amortization Margin 3.31% 3.11% 2.16% 2.4%
0%
Capital Expenditure 15.65 -15.65 11.68 -11.68
0 -9.02
Capital Expenditure Margin 2.03% -2.11% 1.77% -2.02%
0%

Quarterly Chart

Monetary values in USD

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Discounting Cash Flows

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