MarketBrain

Vivid Seats Inc.

Financial highlights

MetricFY December 31, 2025FY December 31, 2024FY December 31, 2023FY December 31, 2022FY December 31, 2021
Revenue$450.5M$647.9M$597.4M$511.1M$389.7M
Cash from operations-$91.6M$53.9M$147.3M$14.4M$175.8M
Capital expenditure$2.2M$4.2M$895,000$3.6M$1.1M
Free cash flow-$93.8M$49.7M$146.4M$10.8M$174.7M
Share repurchases$18.3M$23.0M$20.1M$32.5M$0
Impairments$723.0M$0$0$0$0
Total assets$636.9M$1.6B$1.6B$1.2B$1.4B
Total liabilities$722.0M$1.0B$963.3M
Total debt$390.1M$393.0M$273.1M$272.9M$465.7M

Shares outstanding 11.0M · Free float 57.6%

Annual filing data through FY ended December 31, 2025; float as of July 2, 2026.