GoDaddy Inc.

GDDY 10-Q · Q3 2025

GDDY Q3 2025 request

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Income Statement

Income Statement
Metric Q3 2025 Q3 2024 YoY
Revenue 1,265.3 1,147.6 +10.3%
Show Product Lines breakouts
Domains · Core platform 595.9 535.9 +11.2%
Other · Core platform 188.4 188.6 -0.1%
Show Business Segments breakouts
Applications and commerce 481 423.1 +13.7%
Applications and commerce · Operating Segments 481 423.1 +13.7%
Core platform 784.3 724.5 +8.3%
Core platform · Operating Segments 784.3 724.5 +8.3%
Show Geography breakouts
Non Us 422.5 369.4 +14.4%
US 842.8 778.2 +8.3%
Show Equity Components breakouts
Accumulated Gain Loss Cash Flow Hedge Including Noncontrolling Interest · Foreign Exchange Forward -0.1 0.7 -114.3%
Total hedges · Reclassification Out Of Accumulated Other Comprehensive Income -0.1 0.7 -114.3%
Show Consolidation Items breakouts
Operating Segments 1,265.3 1,147.6 +10.3%
Cost Of Goods And Service Excluding Depreciation Depletion And Amortization 468.3 407.4 +14.9%
Technology Related Costs 210.5 205.1 +2.6%
Marketing And Advertising Expense 92 84.4 +9.0%
Customer Service Expense 72.6 68.9 +5.4%
General & Administrative 91.3 94.8 -3.7%
Restructuring Charges And Gain Loss On Disposition Of Property Plant Equipment 5.5 0.4 +1275.0%
Depreciation & Amortization 28.4 32.8 -13.4%
Total Costs & Expenses 968.6 893.8 +8.4%
Operating Income 296.7 253.8 +16.9%
Interest Expense -38.3 -39.4 +2.8%
Show Equity Components breakouts
Accumulated Foreign Currency Adjustment Including Portion Attributable To Noncontrolling Interest · Cross Currency Interest Rate Contract -2.7 -3.1 +12.9%
Accumulated Gain Loss Cash Flow Hedge Including Noncontrolling Interest · Cross Currency Interest Rate Contract -2.1 -2.3 +8.7%
Accumulated Gain Loss Cash Flow Hedge Including Noncontrolling Interest · Interest Rate Swap -13 -18 +27.8%
Total hedges · Reclassification Out Of Accumulated Other Comprehensive Income -17.8 -23.4 +23.9%
Other Non-Operating Income (Expense) 8.6 6.6 +30.3%
Show Debt Instrument breakouts
Euro-Denominated Intercompany Loan · Accumulated Gain Loss Cash Flow Hedge Including Noncontrolling Interest -3.1 21.1 -114.7%
Show Equity Components breakouts
Accumulated Gain Loss Cash Flow Hedge Including Noncontrolling Interest · Cross Currency Interest Rate Contract 2.8 -21 +113.3%
Total hedges · Reclassification Out Of Accumulated Other Comprehensive Income 2.8 -21 +113.3%
Income Before Taxes 267 221 +20.8%
Income Tax Expense (Benefit) -56.5 -30.5 -85.2%
Net Income 210.5 190.5 +10.5%
Show Equity Components breakouts
Retained Earnings 210.5 190.5 +10.5%
EPS (Basic) 1.53 1.36 +12.5%
EPS (Diluted) 1.51 1.32 +14.4%
Wtd Avg Shares (Basic) 137,159 140,523 -2.4%
Wtd Avg Shares (Diluted) 139,073 144,138 -3.5%
Comprehensive Income 210.1 144.9 +45.0%

Balance Sheet

Balance Sheet
Metric Q3 2025 Q3 2024 YoY
Current Assets
Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 923.7 767.1 +20.4%
Accounts Receivable 108.8 90.7 +20.0%
Deposits Assets Current 39.7 42.3 -6.1%
Prepaid Expense Registry Fees Current 520.6 490.3 +6.2%
Prepaid Expenses & Other Current Assets 139.7 163.8 -14.7%
Total Current Assets 1,732.5 1,554.2 +11.5%
Non-Current Assets
Property, Plant & Equipment 146.6 155.8 -5.9%
Show Geography breakouts
Non Us 18.4
US 128.2 131.4 -2.4%
Operating Lease Right-of-Use Assets 44.2 56.4 -21.6%
Prepaid Expense Noncurrent 240.3 225.7 +6.5%
Goodwill 3,631.5 3,594 +1.0%
Show Business Segments breakouts
Applications and commerce 1,540.4 1,524.7 +1.0%
Core platform 2,091.1 2,069.3 +1.1%
Deferred Tax Assets 1,092 1,219 -10.4%
Other Non-Current Assets 93.9 100.9 -6.9%
Total Assets 7,984.7 7,997.2 -0.2%
Intangible Assets 47.7 122.3 -61.0%
Show Finite Lived Intangible Assets By Major Class breakouts
Customer Related Intangible Assets 23.7 68.6 -65.5%
Developed Technology Rights 5.6 24.8 -77.4%
Trade Names 18.3 28.9 -36.7%
Other Assets
Intangible Assets Net Excluding Goodwill 1,003.7 1,091.2 -8.0%
Current Liabilities
Accounts Payable 73.5 73.7 -0.3%
Accrued Liabilities 535.7 438.2 +22.3%
Deferred Revenue (Current) 2,418.6 2,256.1 +7.2%
Show Business Segments breakouts
Applications and commerce 891.6 794.3 +12.2%
Core platform 1,527 1,461.8 +4.5%
Current Portion of Long-Term Debt 15.5 16.5 -6.1%
Total Current Liabilities 3,043.3 2,784.5 +9.3%
Non-Current Liabilities
Contract With Customer Liability Noncurrent 944.9 881.3 +7.2%
Show Business Segments breakouts
Applications and commerce 220.4 197.3 +11.7%
Core platform 724.5 684 +5.9%
Long-Term Debt 3,768.9 3,783.6 -0.4%
Operating Lease Liabilities 65.2 83.5 -21.9%
Other Non-Current Liabilities 57.8 84.4 -31.5%
Deferred Tax Liabilities 12.8 23.2 -44.8%
Stockholders' Equity
Common Stock Value Outstanding 0.1
Additional Paid-In Capital 2,880.3 2,519 +14.3%
Retained Earnings -2,823.9 -2,252.6 -25.4%
Accumulated Other Comprehensive Income 35.3 90.2 -60.9%
Total Stockholders' Equity 91.8 356.7 -74.3%
Show Equity Components breakouts
Accumulated Gain Loss Net Cash Flow Hedge Parent 138.2 157.1 -12.0%
Accumulated Other Comprehensive Income 35.3 90.2 -60.9%
Accumulated Translation Adjustment -102.9 -66.9 -53.8%
Additional Paid In Capital 2,880.3 2,519 +14.3%
Common Stock 0.1 0.1 0.0%
Retained Earnings -2,823.9 -2,252.6 -25.4%
Total Liabilities & Equity 7,984.7 7,997.2 -0.2%

Cash Flow Statement

Cash Flow Statement
Metric YTD Q3 2025 YTD Q3 2024 YoY
Operating Activities
Stock-Based Compensation 241 222.4 +8.4%
Unrealized Gain Loss On Derivatives 38.8 6.7 +479.1%
Deferred Income Taxes And Tax Credits 80.4 -213.7 +137.6%
Other Non-Cash Items 28.6 31.6 -9.5%
Increase Decreasein Prepaid Expense Registry Fees -42.6 -40.3 -5.7%
Change in Accounts Payable -8.5 -73.9 +88.5%
Change in Deferred Revenue 251.3 262.3 -4.2%
Increase Decrease In Other Operating Capital Net -79.9 -89.3 +10.5%
Net Cash from Operations 1,228.8 947.2 +29.7%
Investing Activities
Capital Expenditures -17 -12.2 -39.3%
Other Investing Activities -2.2 8.1 -127.2%
Net Cash from Investing -19.2 35.9 -153.5%
Financing Activities
Proceeds From Issuance Of Shares Under Incentive And Share Based Compensation Plans 19.2 19.5 -1.5%
Share Repurchases -1,383 -668.1 -107.0%
Repayments Of Long Term Debt -18.5 -2,768.4 +99.3%
Proceeds From Payments For Other Financing Activities 2.9 -11.2 +125.9%
Net Cash from Financing -1,379.4 -675.9 -104.1%
Supplemental
Interest Paid 103.6 113.2 -8.5%
Income Taxes Paid 12.8 16.8 -23.8%
Operating Lease Payments 26.3 29.9 -12.0%
Right Of Use Asset Obtained In Exchange For Operating Lease Liability 1.8 11.5 -84.3%
Stock Repurchase Program Share Repurchases Not Yet Settled 9.6
Other Cash Flow
Effect Of Exchange Rate On Cash Cash Equivalents Restricted Cash And Restricted Cash Equivalents 4.5 1.1 +309.1%
Net Change in Cash -165.3 308.3 -153.6%

Values in millions USD. Source: SEC EDGAR 10-Q filing.

This table is rendered from the same JSON returned by /api/financials.

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