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Trade Vivid Seats Inc. - SEAT CFD

7.42
0.93%
  • Summary
  • Historical Data
  • Events
  • Income Statement
  • Balance Sheet
  • Cash Flow
  • Ownership
Trading Conditions
Spread 0.07
Long position overnight fee

Long position overnight fee


Margin. Your investment $1,000.00
Overnight fee -0.025457 %
Charges from borrowed part ($-1.02)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Go to platform
-0.025457%
Short position overnight fee

Short position overnight fee


Margin. Your investment $1,000.00
Overnight fee 0.003235 %
Charges from borrowed part ($0.13)
Trade size with leverage ~ $5,000.00
Money from leverage ~ $4,000.00

Go to platform
0.003235%
Overnight fee time 21:00 (UTC)
Min traded quantity 1
Currency USD
Margin 20%
Stock exchange United States of America
Commission on trade 0%

*Information provided by Capital.com

Key Stats
Prev. Close* 7.49
Open* 7.51
1-Year Change* -4.33%
Day's Range* 7.42 - 7.6
52 wk Range 6.29-9.89
Average Volume (10 days) 1.54M
Average Volume (3 months) 11.30M
Market Cap 1.46B
P/E Ratio 15.25
Shares Outstanding 195.88M
Revenue 630.57M
EPS 0.49
Dividend (Yield %) N/A
Beta -100.00K
Next Earnings Date N/A

All data is provided by Refinitiv, except for data marked with an asterisk, which is *data provided by Capital.com

  • Last Week
  • Last Month
  • Last Year
  • Last two Years
  • Max
  • Daily
  • Weekly
  • Monthly
Date Close Change Change (%) Open High Low
May 26, 2023 7.42 -0.06 -0.80% 7.48 7.60 7.40
May 25, 2023 7.49 -0.09 -1.19% 7.58 7.68 7.41
May 24, 2023 7.67 -0.11 -1.41% 7.78 7.82 7.66
May 23, 2023 7.79 0.08 1.04% 7.71 7.94 7.71
May 22, 2023 7.83 0.27 3.57% 7.56 7.88 7.55
May 19, 2023 7.63 0.08 1.06% 7.55 7.78 7.55
May 18, 2023 7.63 -0.05 -0.65% 7.68 7.82 7.45
May 17, 2023 8.19 -0.06 -0.73% 8.25 8.96 8.03
May 16, 2023 9.53 0.13 1.38% 9.40 9.66 9.30
May 15, 2023 9.49 0.09 0.96% 9.40 9.63 9.39
May 12, 2023 9.58 0.03 0.31% 9.55 9.66 9.22
May 11, 2023 9.57 0.09 0.95% 9.48 9.83 9.38
May 10, 2023 9.50 0.93 10.85% 8.57 9.60 8.56
May 9, 2023 8.73 -0.31 -3.43% 9.04 9.71 8.59
May 8, 2023 7.86 0.61 8.41% 7.25 7.94 7.19
May 5, 2023 7.36 0.20 2.79% 7.16 7.46 7.06
May 4, 2023 7.13 0.12 1.71% 7.01 7.20 6.88
May 3, 2023 7.07 -0.01 -0.14% 7.08 7.22 6.97
May 2, 2023 7.12 0.01 0.14% 7.11 7.23 7.04
May 1, 2023 7.22 0.21 3.00% 7.01 7.25 6.89

Vivid Seats Inc. Events

Time (UTC) Country Event
Tuesday, June 6, 2023

Time (UTC)

13:00

Country

US

Event

Vivid Seats Inc Annual Shareholders Meeting
Vivid Seats Inc Annual Shareholders Meeting

Forecast

-

Previous

-
Wednesday, June 7, 2023

Time (UTC)

13:00

Country

US

Event

Vivid Seats Inc Annual Shareholders Meeting
Vivid Seats Inc Annual Shareholders Meeting

Forecast

-

Previous

-
View all events
  • Annual
  • Quarterly
2022 2021 2020 2019
Total revenue 600.274 443.038 35.077 468.925
Revenue 600.274 443.038 35.077 468.925
Cost of Revenue, Total 140.508 90.617 24.69 106.003
Gross Profit 459.766 352.421 10.387 362.922
Total Operating Expense 526.454 402.295 751.78 481.276
Selling/General/Admin. Expenses, Total 375.994 273.528 104.32 279.781
Depreciation / Amortization 7.732 2.322 48.247 93.078
Unusual Expense (Income) 4.285 35.828 574.523 2.414
Operating Income 73.82 40.743 -716.703 -12.351
Interest Income (Expense), Net Non-Operating -4.631 -58.179 -57.482 -41.497
Net Income Before Taxes 69.189 -18.825 -774.185 -53.848
Net Income After Taxes 70.779 -19.129 -774.185 -53.848
Net Income Before Extra. Items 28.662 -16.119 -774.185 -53.848
Net Income 28.662 -16.119 -774.185 -53.848
Income Available to Common Excl. Extra. Items 28.662 -3.283 -774.185 -53.848
Income Available to Common Incl. Extra. Items 28.662 -3.283 -774.185 -53.848
Diluted Net Income 70.779 -3.283 -774.185 -53.848
Diluted Weighted Average Shares 198.744 77.4988 195.148 195.148
Diluted EPS Excluding Extraordinary Items 0.35613 -0.04236 -3.96716 -0.27593
Dividends per Share - Common Stock Primary Issue 0 0
Diluted Normalized EPS 0.39528 0.25814 -1.02313 -0.26356
Other, Net -1.389
Minority Interest -42.117 3.01
Total Adjustments to Net Income 0 12.836
Other Operating Expenses, Total -2.065
Dilution Adjustment 42.117
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Total revenue 161.063 164.99 156.818 147.694 130.772
Revenue 161.063 164.99 156.818 147.694 130.772
Cost of Revenue, Total 37.76 38.305 37.617 32.422 32.164
Gross Profit 123.303 126.685 119.201 115.272 98.608
Total Operating Expense 127.553 140.233 135.117 129.767 121.337
Selling/General/Admin. Expenses, Total 87.161 100.31 96.562 95.619 83.503
Depreciation / Amortization 2.598 2.463 2.158 1.726 1.385
Unusual Expense (Income) 0 0 0 0 4.285
Operating Income 33.51 24.757 21.701 17.927 9.435
Interest Income (Expense), Net Non-Operating -2.953 -1.707 -2.836 6.133 -3.942
Net Income Before Taxes 30.557 23.05 18.865 24.06 3.214
Net Income After Taxes 30.272 24.834 18.747 24.06 3.138
Net Income Before Extra. Items 12.182 10.085 7.663 9.655 1.259
Net Income 12.182 10.085 7.663 9.655 1.259
Income Available to Common Excl. Extra. Items 12.182 10.085 7.663 9.655 1.259
Income Available to Common Incl. Extra. Items 12.182 10.085 7.663 9.655 1.259
Diluted Net Income 29.051 24.834 7.664 9.655 1.303
Diluted Weighted Average Shares 195.824 198.848 82.0235 79.259 79.4983
Diluted EPS Excluding Extraordinary Items 0.14835 0.12489 0.09344 0.12182 0.01639
Dividends per Share - Common Stock Primary Issue 0 0 0 0
Diluted Normalized EPS 0.14918 0.13226 0.1018 0.16413 0.07615
Other, Net -2.279
Minority Interest -18.09 -14.749 -11.084 -14.405 -1.879
Total Adjustments to Net Income 0 0 0 0
Dilution Adjustment 16.869 14.749 0.001 0 0.044
Other Operating Expenses, Total 0.034 -0.845 -1.22
  • Annual
  • Quarterly
2022 2021 2020 2019
Total Current Assets 331.516 610.211 408.115 129.917
Cash and Short Term Investments 251.542 489.53 285.337 81.289
Cash & Equivalents 251.542 489.53 285.337 81.289
Total Receivables, Net 37.279 36.404 35.25 25
Accounts Receivable - Trade, Net 37.279 36.404 35.25 25
Total Inventory 12.783 11.773 7.462 11.556
Prepaid Expenses 6.032 9.573 2.309 5.41
Other Current Assets, Total 23.88 62.931 77.757 6.662
Total Assets 1151.43 1408.8 1159.13 1497.05
Property/Plant/Equipment, Total - Net 18.29 1.082 4.016
Property/Plant/Equipment, Total - Gross 18.886 6.225
Accumulated Depreciation, Total -0.596 -2.209
Goodwill, Net 715.258 718.204 683.327 1060.43
Intangibles, Net 81.976 78.511 67.024 300.542
Other Long Term Assets, Total 4.391 0.787 0.664 2.146
Total Current Liabilities 378.015 497.496 331.271 163.239
Accounts Payable 161.312 191.201 62.769 91.443
Accrued Expenses 162.921 281.156 237.541 31.309
Notes Payable/Short Term Debt 0 0 0 0
Current Port. of LT Debt/Capital Leases 2.75 0 6.412 5.856
Other Current Liabilities, Total 51.032 25.139 24.549 34.631
Total Liabilities 1534.13 2269.48 1202.68 771.68
Total Long Term Debt 264.898 460.132 870.903 606.589
Long Term Debt 264.898 460.132 870.903 606.589
Other Liabilities, Total 28.356 25.834 0.51 1.852
Total Equity -382.698 -860.683 -43.554 725.369
Redeemable Preferred Stock 228.227 207.093
Common Stock 0.02 0.02 0 0
Additional Paid-In Capital 663.908 182.091 755.716 772.683
Retained Earnings (Accumulated Deficit) -1014.13 -1042.79 -1026.68 -252.49
Unrealized Gain (Loss) -0.822 -1.917
Total Liabilities & Shareholders’ Equity 1151.43 1408.8 1159.13 1497.05
Total Common Shares Outstanding 196.268 197.292 195.148 195.148
Minority Interest 862.86 1286.02
Treasury Stock - Common -32.494
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Total Current Assets 408.007 331.516 364.045 412.911 461.899
Cash and Short Term Investments 303.319 251.542 273.889 287.811 314.055
Cash & Equivalents 303.319 251.542 273.889 287.811 314.055
Total Receivables, Net 47.206 37.279 40.494 44.373 53.978
Accounts Receivable - Trade, Net 47.206 37.279 40.494 44.373 53.978
Total Inventory 24.153 12.783 14.123 21.202 17.899
Prepaid Expenses 5.778 6.032 10.153 8.991 8.391
Other Current Assets, Total 27.551 23.88 25.386 50.534 67.576
Total Assets 1227.52 1151.43 1180.52 1223.05 1274.22
Property/Plant/Equipment, Total - Net 18.018 18.29 17.092 12.099 11.222
Goodwill, Net 715.258 715.258 715.258 715.258 718.204
Intangibles, Net 81.8 81.976 81.6 80.067 79.944
Other Long Term Assets, Total 4.432 4.391 2.526 2.717 2.949
Total Current Liabilities 430.573 378.015 405.293 473.018 539.983
Accounts Payable 218.138 161.312 165.355 191.454 236.295
Accrued Expenses 159.018 162.921 173.582 214.495 246.463
Notes Payable/Short Term Debt 0 0 0 0 0
Current Port. of LT Debt/Capital Leases 2.75 2.75 2.75 2.75 2.75
Other Current Liabilities, Total 50.667 51.032 63.606 64.319 54.475
Total Liabilities 1624.79 1534.13 1605.98 1648.67 2149.44
Total Long Term Debt 264.384 264.898 265.405 265.902 266.396
Long Term Debt 264.384 264.898 265.405 265.902 266.396
Other Liabilities, Total 27.968 28.356 29.874 26.8 35.771
Total Equity -397.276 -382.698 -425.463 -425.622 -875.224
Redeemable Preferred Stock
Common Stock 0.021 0.02 0.02 0.02 0.02
Additional Paid-In Capital 644.759 663.908 601.784 606.238 166.291
Retained Earnings (Accumulated Deficit) -1001.95 -1014.13 -1024.22 -1031.88 -1041.54
Unrealized Gain (Loss)
Total Liabilities & Shareholders’ Equity 1227.52 1151.43 1180.52 1223.05 1274.22
Total Common Shares Outstanding 195.811 196.268 199.844 197.441 197.367
Minority Interest 901.866 862.86 905.412 882.954 1307.29
Treasury Stock - Common -40.106 -32.494 -3.05
  • Annual
  • Quarterly
2022 2021 2020 2019
Net income/Starting Line 70.779 -19.129 -774.185 -53.848
Cash From Operating Activities 14.375 175.79 -33.892 76.478
Cash From Operating Activities 7.732 2.322 48.247 93.078
Non-Cash Items 16.637 72.95 598.52 11.408
Cash Interest Paid 14.794 72.736 34.592 38.653
Changes in Working Capital -80.773 119.647 93.526 25.84
Cash From Investing Activities -15.415 -9.345 -7.605 -40.155
Capital Expenditures -3.723 -1.208 -0.341 -1.258
Other Investing Cash Flow Items, Total -11.692 -8.137 -7.264 -38.897
Cash From Financing Activities -236.48 38.028 245.545 -55.462
Financing Cash Flow Items -11.212 -6.437 -8.599 -8.495
Issuance (Retirement) of Debt, Net -192.774 62.163 254.144 -46.967
Net Change in Cash -237.52 204.473 204.048 -19.139
Total Cash Dividends Paid 0 -17.698
Issuance (Retirement) of Stock, Net -32.494 0
Mar 2023 Dec 2022 Sep 2022 Jun 2022 Mar 2022
Net income/Starting Line 30.272 70.779 45.945 27.198 3.138
Cash From Operating Activities 65.111 14.375 1.389 1.406 23.534
Cash From Operating Activities 2.598 7.732 5.269 3.111 1.385
Non-Cash Items 5.62 16.637 12.902 8.393 10.98
Cash Interest Paid 1.941 14.794 9.886 6.285 3.612
Changes in Working Capital 26.621 -80.773 -62.727 -37.296 8.031
Cash From Investing Activities -2.607 -15.415 -11.888 -6.931 -3.441
Capital Expenditures -0.58 -3.723 -2.892 -1.529 -0.693
Other Investing Cash Flow Items, Total -2.027 -11.692 -8.996 -5.402 -2.748
Cash From Financing Activities -10.8 -236.48 -204.911 -196.255 -195.568
Issuance (Retirement) of Debt, Net -0.688 -192.774 -192.087 -191.399 -190.712
Net Change in Cash 51.704 -237.52 -215.41 -201.78 -175.475
Financing Cash Flow Items -2.5 -11.212 -9.774 -4.856 -4.856
Total Cash Dividends Paid 0
Issuance (Retirement) of Stock, Net -7.612 -32.494 -3.05
Investor Name Investor Type Percent Outstanding Shares Held Shares change Holdings Date Turnover Rating
Security Benefit Life Insurance Insurance Company 53.2236 41342095 0 2023-03-31
SBT Investors LLC Corporation 13.4334 10434573 10434573 2022-12-31 LOW
Delaware Life Holdings Parent II LLC Corporation 6.437 5000000 0 2023-04-11
MFS Investment Management Investment Advisor/Hedge Fund 5.8803 4567594 -7911 2023-03-31 LOW
Fidelity Management & Research Company LLC Investment Advisor 4.1077 3190721 210853 2023-03-31 LOW
Janus Henderson Investors Investment Advisor/Hedge Fund 2.7899 2167113 -4326 2023-03-31 LOW
Omni Partners US LLC Investment Advisor/Hedge Fund 2.5534 1983351 1983351 2021-09-30
Brandywine Global Investment Management, LLC Investment Advisor 1.6337 1269013 690346 2023-03-31 LOW
BlackRock Institutional Trust Company, N.A. Investment Advisor 1.5905 1235418 30469 2023-03-31 LOW
Invenomic Capital Management LP Hedge Fund 0.859 667262 112394 2023-03-31 HIGH
Allspring Global Investments, LLC Investment Advisor/Hedge Fund 0.8256 641306 71612 2023-03-31 MED
Geode Capital Management, L.L.C. Investment Advisor/Hedge Fund 0.7077 549739 39273 2023-03-31 LOW
Penserra Capital Management LLC Investment Advisor 0.6855 532457 -35106 2023-03-31 MED
The Vanguard Group, Inc. Investment Advisor/Hedge Fund 0.6701 520511 47957 2023-03-31 LOW
State Street Global Advisors (US) Investment Advisor/Hedge Fund 0.653 507257 9289 2023-03-31 LOW
Clearline Capital LP Hedge Fund 0.5788 449586 -757164 2023-03-31 HIGH
Millennium Management LLC Hedge Fund 0.5146 399691 -496788 2023-03-31 HIGH
UBS Asset Management (Americas), Inc. Investment Advisor 0.3535 274547 0 2023-03-31 LOW
Principal Funds, Inc. Investment Advisor 0.3423 265912 0 2022-04-30 LOW
GSA Capital Partners LLP Hedge Fund 0.3031 235444 235444 2023-03-31 HIGH

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Vivid Seats Inc. Company profile

About Vivid Seats Inc

Vivid Seats Inc., formerly Horizon Acquisition Corp, is a marketplace that allows fans of live events to connect with third-party ticket sellers through its technology platform. The Company operates through two segments: marketplace and resale. Its marketplace segment acts as an intermediary between ticket buyers and third-party ticket sellers. It facilitates the sale of tickets by third-party ticket sellers through its Website www.vividseats.com and Vivid Seats native applications. It also provides a private label offering to third-party distribution partners with software solutions that enable them to sell tickets on their own Websites. The Company's resale segment primarily serves as an internal research and development group that is focused on creating seller software and tools. The Company supports sellers with its Skybox platform, an enterprise resource planning (ERP) tool that helps sellers to manage inventory, adjust pricing and fulfill orders.

Financial summary

BRIEF: For the fiscal year ended 31 December 2021, Vivid Seats Inc revenues increased from $35.1M to $443M. Net loss applicable to common stockholders decreased 100% to $3.3M. Revenues reflect Marketplace segment increase from $23.3M to $389.7M, Resale segment increase from $11.8M to $53.4M. Lower net loss reflects Impairment charges decrease from $573.8M (expense) to $0K.

Industry: Online Services (NEC)

24 E. Washington Street
Ste. 900
CHICAGO
ILLINOIS 60602
US

Income Statement

  • Annual
  • Quarterly

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