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CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS (Unaudited) - USD ($)
$ in Thousands
6 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Cash flows from operating activities:    
Net income (loss) $ 660,692 $ (9,550)
Adjustments to reconcile net income (loss) to net cash provided by operating activities:    
Depreciation and amortization 194,543 187,718
Amortization of discounts and premiums and other non-cash adjustments (537,806) (221,679)
Non-cash lease expense 31,475 94,416
Share-based compensation 631,791 598,845
Loss (gain) on revaluation of equity investments (2,483) 16,255
Bitcoin remeasurement (163,288) (112,102)
Transaction, loan, and consumer receivable losses 357,541 307,667
Change in deferred income taxes 3,528 39,919
Changes in operating assets and liabilities:    
Settlements receivable (829,379) 203,697
Purchases and originations of loans (6,911,321) (3,770,864)
Proceeds from payments and forgiveness of loans 6,585,211 3,590,923
Customers payable 871,931 (184,570)
Settlements payable (8,134) (139,308)
Other assets and liabilities 124,486 (193,648)
Net cash provided by operating activities 1,008,787 407,719 Close
Cash flows from investing activities:    
Purchases of marketable debt securities (757,335) (423,751)
Proceeds from maturities of marketable debt securities 458,029 656,502
Proceeds from sale of marketable debt securities 395,455 24,874
Payments for originations of consumer receivables (12,866,904) (10,546,501)
Proceeds from principal repayments and sales of consumer receivables 13,727,603 10,933,947
Purchases of property and equipment (70,355) (61,775)
Purchases of other investments (19,079) (4,397)
Net cash provided by investing activities 867,414 578,899 Close
Cash flows from financing activities:    
Proceeds from issuance of senior notes 2,000,000 0
Payments of debt issuance costs from issuance of senior notes (26,619) 0
Repayments of Paycheck Protection Program Liquidity Facility advances 0 (16,840)
Payments to redeem convertible notes 0 (461,761)
Proceeds from warehouse facilities borrowings 319,634 289,418
Repayments of warehouse facilities borrowings (968,045) (794,384)
Proceeds from the exercise of stock options and purchases under the employee stock purchase plan 86,201 65,962
Net increase in interest-bearing deposits 41,969 28,583
Repurchases of common stock (641,603) 0
Other financing activities (18,473) (4,320)
Change in customer funds, restricted from use in the Company's operations 380,283 172,332
Net cash provided by (used in) financing activities 1,173,347 (721,010) Close
Effect of foreign exchange rate on cash and cash equivalents (39,771) 6,955 Close
Net increase in cash, cash equivalents, restricted cash, and customer funds 3,009,777 272,563 Close
Cash, cash equivalents, restricted cash, and customer funds, beginning of the period 9,009,087 8,435,906
Cash, cash equivalents, restricted cash, and customer funds, end of the period 12,018,864 8,708,469
Reconciliation of cash, cash equivalents, restricted cash, and customer funds:    
Cash and cash equivalents 7,799,093 4,745,884
Short-term restricted cash 597,855 536,733
Long-term restricted cash 71,203 73,196
Customer funds cash and cash equivalents 3,550,713 3,352,656
Total $ 12,018,864 $ 8,708,469