MTCH
MATCH GROUP (MTCH)
NASDAQ
$35.45+$0.21 (+0.60%)
Price as of Jun 23, 2026 6:57 PM EDT
  • $8.2B
    Market Cap
  • 16.56%
    1-Year Change
  • Internet Content & Information
    Industry
Annual
Quarterly
12/31/2025
12/31/2024
12/31/2023
12/31/2022
Income Statement
Total Operating Revenue
3.5B
+0.22%
3.5B
+3.41%
3.4B
+5.51%
3.2B
+6.89%
Cost of Revenue
948.4M
-4.33%
991.3M
+3.91%
954.0M
-0.62%
960.0M
+14.38%
Gross Profit
2.5B
+2.04%
2.5B
+3.22%
2.4B
+8.15%
2.2B
+3.96%
Sales and Marketing Expense
625.5M
+0.55%
622.1M
+6.11%
586.3M
+9.68%
534.5M
-5.64%
Research and Development Expense
-449.5M
+1.66%
-442.2M
+15.09%
-384.2M
-215.15%
333.6M
+38.41%
Depreciation and Amortization Expense
67.1M
-23.30%
87.5M
+83.32%
47.7M
-86.97%
366.3M
+1,182.46%
Total Operating Expenses
2.6B
-1.56%
2.7B
+8.52%
2.4B
-8.46%
2.7B
+25.44%
Operating Profit
872.5M
+5.98%
823.3M
-10.21%
916.9M
+78.04%
515.0M
-39.53%
Interest Income
21.9M
-46.64%
41.1M
+53.38%
26.8M
+509.09%
4.4M
+62.96%
Interest Expense
-6.5M
-1.64%
-6.6M
-95.85%
-159.9M
+9.85%
-145.5M
+11.54%
Interest Income and Expense and Net
15.4M
-55.30%
34.5M
+125.90%
-133.1M
-191.44%
145.5M
+11.54%
Total Nonoperating Income and Expense
21.0M
-48.49%
40.8M
+106.43%
19.8M
+146.13%
8.0M
+101.73%
Income before Taxes
746.0M
+5.96%
704.1M
-9.36%
776.8M
+105.77%
377.5M
+47.37%
Income Taxes
132.5M
-13.23%
152.7M
+21.89%
125.3M
+715.76%
15.4M
+177.20%
Extraordinary Items
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
Net Income
613.4M
+11.27%
551.3M
-15.37%
651.5M
+81.01%
359.9M
+30.14%
Net Income from Continuing Operations Applicable to Common
613.4M
+11.28%
551.3M
-15.39%
651.5M
+80.01%
361.9M
+30.33%
Basic EPS and Net Income
2.53
+19.34%
2.12
-10.17%
2.36
+84.38%
1.28
+26.73%
Diluted EPS and Net Income
2.38
+17.82%
2.02
-10.62%
2.26
+82.26%
1.24
+33.33%
Basic Weighted Average Shares
242.7M
-6.77%
260.3M
-5.61%
275.8M
-2.40%
282.6M
+2.75%
Diluted Weighted Average Shares
262.5M
-5.94%
279.1M
-4.85%
293.3M
-0.65%
295.2M
-3.16%
Balance Sheet
Cash and Cash Equivalents
1.0B
+6.40%
966.0M
+12.01%
862.4M
+50.67%
572.4M
-29.80%
Short-Term Investments
3.5M
-26.89%
4.7M
-23.65%
6.2M
-28.92%
8.7M
-26.19%
Cash and Cash Equivalents and Short-Term Investments
1.0B
+6.24%
970.7M
+11.75%
868.6M
+49.48%
581.1M
-29.75%
Total Current Assets
1.4B
+2.11%
1.4B
+9.95%
1.3B
+44.08%
882.4M
-27.57%
Accumulated Depreciation
323.9M
+5.44%
307.2M
+23.25%
249.2M
+25.61%
198.4M
+9.17%
Property and Plant and Equipment and Net
131.2M
-17.09%
158.2M
-18.68%
194.5M
+10.44%
176.1M
+7.89%
Total Long-Term Assets
154.0M
+27.20%
121.1M
-9.56%
133.9M
-5.17%
141.2M
-13.46%
Total Assets
4.5B
-0.11%
4.5B
-0.93%
4.5B
+7.77%
4.2B
-17.39%
Income Taxes Payable
54.3M
+20.29%
45.1M
-11.84%
51.2M
+11.43%
45.9M
-68.14%
Total Short-Term Debt
423.6M
N/A
0
N/A
0
N/A
0
-100.00%
Total Current Liabilities
1.0B
+83.19%
549.5M
+3.33%
531.8M
-4.42%
556.4M
-52.38%
Total Long-Term Debt
3.5B
-7.79%
3.8B
+0.18%
3.8B
+0.17%
3.8B
+0.16%
Total Long-Term Liabilities
104.3M
+21.46%
85.9M
-15.63%
101.8M
-1.80%
103.7M
-10.68%
Total Liabilities
1.0B
+83.19%
549.5M
+3.33%
531.8M
-4.42%
556.4M
-52.38%
Retained Earnings
-6.0B
-9.32%
-6.6B
-7.73%
-7.1B
-8.37%
-7.8B
-4.44%
Total Stockholders Equity
-253.5M
+298.22%
-63.7M
+225.65%
-19.5M
-94.57%
-359.9M
+76.61%
Total Shares Outstanding
232.5M
-7.53%
251.5M
-6.48%
268.9M
-3.84%
279.6M
-1.36%
Cash Flow
Cash from Operating Activities
1.1B
+15.83%
932.7M
+4.01%
896.8M
+70.59%
525.7M
-42.39%
Capital Expenditures
56.8M
+12.23%
50.6M
-24.97%
67.4M
+37.23%
49.1M
-38.57%
Cash from Investing Activities
-46.8M
-20.00%
-58.5M
-23.56%
-76.6M
+6.80%
-71.7M
-92.37%
Dividends Paid
186.3M
N/A
N/A
N/A
N/A
N/A
N/A
N/A
Cash from Financing Activities
-984.9M
+29.88%
-758.3M
+41.99%
-534.1M
-22.51%
-689.2M
-720.28%
Financials Ratio
Gross Margin
72.80%
+1.81%
71.51%
-0.19%
71.64%
+2.50%
69.90%
-2.74%
Operating Margin
25.02%
+5.74%
23.66%
-13.17%
27.25%
+68.74%
16.15%
-43.43%
Return on Assets
13.74%
+11.86%
12.29%
-18.04%
14.99%
+92.57%
7.79%
+13.17%
Return on Equity
-386.83%
-70.81%
-1,325.16%
+285.89%
-343.40%
+168.89%
-127.71%
+218.97%
Revenue Growth
0.22%
-93.41%
3.41%
-38.02%
5.51%
-20.06%
6.89%
-72.17%
Current Ratio
1.42
-44.26%
2.54
+6.41%
2.39
+50.74%
1.59
+52.09%
Cash Ratio
1.02
-41.91%
1.76
+8.40%
1.62
+57.64%
1.03
+47.41%
Debt-to-Equity Ratio
-15.67
-74.08%
-60.46
-69.24%
-196.55
+1,744.11%
-10.66
-44.74%
Debt-to-Assets Ratio
0.89
+3.33%
0.86
+1.13%
0.85
-7.06%
0.92
+18.14%

Earnings & Revenue History

Debt-to-Assets

Cash Flow