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LC LendingClub

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  • 10.330
  • +0.440+4.45%
Close May 2 16:00 ET
  • 10.500
  • +0.170+1.65%
Post 19:58 ET
1.18BMarket Cap23.48P/E (TTM)

LendingClub Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
59.92%-339.27M
-131.76%-2.63B
77.25%-185.41M
-94.19%-669.83M
-920.67%-932.46M
-839.37%-846.52M
-402.63%-1.14B
-2,543.19%-814.81M
-412.82%-344.93M
-147.76%-91.36M
Net income from continuing operations
-4.73%11.67M
31.82%51.33M
-4.28%9.72M
188.68%14.46M
47.41%14.9M
-10.36%12.25M
-86.56%38.94M
-56.95%10.16M
-88.41%5.01M
-94.45%10.11M
Operating gains losses
0.26%-10.88M
4.74%-45.57M
3.70%-11.48M
-45.04%-12.43M
18.71%-10.75M
22.77%-10.91M
49.82%-47.84M
35.04%-11.92M
63.61%-8.57M
54.91%-13.22M
Depreciation and amortization
9.68%13.9M
12.94%53.3M
18.92%14.21M
18.59%13.34M
12.32%13.07M
2.58%12.67M
7.67%47.2M
3.45%11.95M
5.33%11.25M
10.24%11.64M
Deferred tax
----
--0
----
----
----
----
--0
----
----
----
Other non cashItems
52.97%-415.95M
-112.35%-2.86B
71.22%-250.48M
-95.93%-726.98M
-493.47%-999.02M
-1,515.60%-884.49M
-1,999.44%-1.35B
-38,982.71%-870.37M
-1,390.78%-371.05M
-291.94%-168.34M
Change in working capital
77.27%-4.57M
148.59%15.96M
-169.33%-6.55M
649.22%36.3M
229.94%6.32M
34.77%-20.11M
12.62%-32.85M
128.57%9.44M
-139.26%-6.61M
58.26%-4.86M
-Change in other current assets
171.29%5.44M
-59.15%22.42M
-91.45%2.68M
20.23%11.49M
1,288.40%6.25M
-86.25%2.01M
427.49%54.89M
657.43%31.27M
312.19%9.56M
92.58%-526K
-Change in other current liabilities
54.72%-10.01M
92.64%-6.46M
57.75%-9.22M
253.46%24.81M
101.57%68K
51.31%-22.11M
-321.13%-87.75M
20.44%-21.83M
-175.77%-16.17M
4.89%-4.34M
Cash from discontinued operating activities
Operating cash flow
59.92%-339.26M
-131.76%-2.63B
77.25%-185.37M
-94.19%-669.83M
-920.67%-932.46M
-839.37%-846.52M
-402.63%-1.14B
-2,543.19%-814.81M
-412.82%-344.93M
-147.76%-91.36M
Investing cash flow
Cash flow from continuing investing activities
107.70%450.46M
17.63%607.81M
10.98%498.09M
-282.36%-594.13M
520.21%486.97M
164.47%216.88M
118.39%516.7M
140.26%448.8M
145.70%325.79M
112.63%78.52M
Net investment purchase and sale
218.15%380.37M
2,364.22%888.62M
495.19%312.72M
2,824.59%281.29M
8,053.66%175.06M
523.28%119.56M
126.43%36.06M
222.30%52.54M
-52.22%9.62M
106.76%2.15M
Net proceeds payment for loan
-29.21%85.85M
-141.09%-223.86M
-49.57%203.56M
-358.90%-862.56M
236.95%313.89M
142.53%121.26M
120.96%544.82M
136.11%403.6M
146.66%333.17M
116.25%93.16M
Net PPE purchase and sale
-10.91%-13.07M
8.75%-54.3M
-52.80%-17.22M
22.20%-12.44M
18.87%-12.87M
28.16%-11.78M
14.35%-59.51M
23.96%-11.27M
7.61%-15.98M
-0.47%-15.86M
Net other investing changes
77.88%-2.69M
43.31%-2.65M
-124.58%-966K
58.85%-414K
1,271.69%10.89M
-82.22%-12.16M
-5.72%-4.68M
206.79%3.93M
40.15%-1.01M
12.03%-929K
Cash from discontinued investing activities
Investing cash flow
107.70%450.46M
17.63%607.81M
10.98%498.09M
-282.36%-594.13M
520.21%486.97M
164.47%216.88M
118.39%516.7M
140.26%448.8M
145.70%325.79M
112.63%78.52M
Financing cash flow
Cash flow from continuing financing activities
-138.45%-168.35M
116.52%1.71B
-224.43%-385.6M
929.09%1.34B
172.23%312.58M
-43.99%437.85M
-71.75%789.57M
-73.89%309.9M
-74.85%130.68M
-203.26%-432.78M
Increase decrease in deposit
-184.11%-167.6M
89.11%1.74B
-218.45%-381.83M
809.88%1.35B
252.82%573.92M
-75.88%199.26M
-71.71%921.39M
-74.59%322.34M
-75.08%148.5M
-168.26%-375.56M
Net issuance payments of debt
--0
82.85%-19.2M
70.24%-2.92M
84.86%-2.07M
-419.39%-257.23M
723.56%243.02M
75.24%-111.99M
87.89%-9.81M
81.66%-13.69M
61.83%-49.53M
Net other financing activities
83.06%-750K
31.08%-13.67M
67.59%-855K
-3.63%-4.28M
46.67%-4.11M
17.50%-4.43M
-119.68%-19.83M
-155.13%-2.64M
-147.25%-4.13M
-474.55%-7.7M
Cash from discontinued financing activities
Financing cash flow
-138.45%-168.35M
116.52%1.71B
-224.43%-385.6M
929.09%1.34B
172.23%312.58M
-43.99%437.85M
-71.75%789.57M
-73.89%309.9M
-74.85%130.68M
-203.26%-432.78M
Net cash flow
Beginning cash position
-24.48%977.4M
15.09%1.29B
-22.22%1.05B
-21.74%969.45M
-34.55%1.1B
15.09%1.29B
47.26%1.12B
32.49%1.35B
12.38%1.24B
51.23%1.68B
Current changes in cash
70.20%-57.15M
-286.69%-316.75M
-29.89%-72.88M
-27.54%80.83M
70.17%-132.91M
-134.26%-191.79M
-52.99%169.66M
-153.26%-56.11M
234.22%111.54M
-3,774.98%-445.62M
End cash position
-16.52%920.25M
-24.48%977.4M
-24.48%977.4M
-22.22%1.05B
-21.74%969.45M
-34.55%1.1B
15.09%1.29B
15.09%1.29B
32.49%1.35B
12.38%1.24B
Free cash flow
58.95%-352.32M
-124.77%-2.69B
75.48%-202.59M
-89.04%-682.26M
-781.72%-945.32M
-974.97%-858.3M
-490.77%-1.2B
-4,558.52%-826.08M
-488.24%-360.91M
-161.09%-107.21M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
--
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 59.92%-339.27M-131.76%-2.63B77.25%-185.41M-94.19%-669.83M-920.67%-932.46M-839.37%-846.52M-402.63%-1.14B-2,543.19%-814.81M-412.82%-344.93M-147.76%-91.36M
Net income from continuing operations -4.73%11.67M31.82%51.33M-4.28%9.72M188.68%14.46M47.41%14.9M-10.36%12.25M-86.56%38.94M-56.95%10.16M-88.41%5.01M-94.45%10.11M
Operating gains losses 0.26%-10.88M4.74%-45.57M3.70%-11.48M-45.04%-12.43M18.71%-10.75M22.77%-10.91M49.82%-47.84M35.04%-11.92M63.61%-8.57M54.91%-13.22M
Depreciation and amortization 9.68%13.9M12.94%53.3M18.92%14.21M18.59%13.34M12.32%13.07M2.58%12.67M7.67%47.2M3.45%11.95M5.33%11.25M10.24%11.64M
Deferred tax ------0------------------0------------
Other non cashItems 52.97%-415.95M-112.35%-2.86B71.22%-250.48M-95.93%-726.98M-493.47%-999.02M-1,515.60%-884.49M-1,999.44%-1.35B-38,982.71%-870.37M-1,390.78%-371.05M-291.94%-168.34M
Change in working capital 77.27%-4.57M148.59%15.96M-169.33%-6.55M649.22%36.3M229.94%6.32M34.77%-20.11M12.62%-32.85M128.57%9.44M-139.26%-6.61M58.26%-4.86M
-Change in other current assets 171.29%5.44M-59.15%22.42M-91.45%2.68M20.23%11.49M1,288.40%6.25M-86.25%2.01M427.49%54.89M657.43%31.27M312.19%9.56M92.58%-526K
-Change in other current liabilities 54.72%-10.01M92.64%-6.46M57.75%-9.22M253.46%24.81M101.57%68K51.31%-22.11M-321.13%-87.75M20.44%-21.83M-175.77%-16.17M4.89%-4.34M
Cash from discontinued operating activities
Operating cash flow 59.92%-339.26M-131.76%-2.63B77.25%-185.37M-94.19%-669.83M-920.67%-932.46M-839.37%-846.52M-402.63%-1.14B-2,543.19%-814.81M-412.82%-344.93M-147.76%-91.36M
Investing cash flow
Cash flow from continuing investing activities 107.70%450.46M17.63%607.81M10.98%498.09M-282.36%-594.13M520.21%486.97M164.47%216.88M118.39%516.7M140.26%448.8M145.70%325.79M112.63%78.52M
Net investment purchase and sale 218.15%380.37M2,364.22%888.62M495.19%312.72M2,824.59%281.29M8,053.66%175.06M523.28%119.56M126.43%36.06M222.30%52.54M-52.22%9.62M106.76%2.15M
Net proceeds payment for loan -29.21%85.85M-141.09%-223.86M-49.57%203.56M-358.90%-862.56M236.95%313.89M142.53%121.26M120.96%544.82M136.11%403.6M146.66%333.17M116.25%93.16M
Net PPE purchase and sale -10.91%-13.07M8.75%-54.3M-52.80%-17.22M22.20%-12.44M18.87%-12.87M28.16%-11.78M14.35%-59.51M23.96%-11.27M7.61%-15.98M-0.47%-15.86M
Net other investing changes 77.88%-2.69M43.31%-2.65M-124.58%-966K58.85%-414K1,271.69%10.89M-82.22%-12.16M-5.72%-4.68M206.79%3.93M40.15%-1.01M12.03%-929K
Cash from discontinued investing activities
Investing cash flow 107.70%450.46M17.63%607.81M10.98%498.09M-282.36%-594.13M520.21%486.97M164.47%216.88M118.39%516.7M140.26%448.8M145.70%325.79M112.63%78.52M
Financing cash flow
Cash flow from continuing financing activities -138.45%-168.35M116.52%1.71B-224.43%-385.6M929.09%1.34B172.23%312.58M-43.99%437.85M-71.75%789.57M-73.89%309.9M-74.85%130.68M-203.26%-432.78M
Increase decrease in deposit -184.11%-167.6M89.11%1.74B-218.45%-381.83M809.88%1.35B252.82%573.92M-75.88%199.26M-71.71%921.39M-74.59%322.34M-75.08%148.5M-168.26%-375.56M
Net issuance payments of debt --082.85%-19.2M70.24%-2.92M84.86%-2.07M-419.39%-257.23M723.56%243.02M75.24%-111.99M87.89%-9.81M81.66%-13.69M61.83%-49.53M
Net other financing activities 83.06%-750K31.08%-13.67M67.59%-855K-3.63%-4.28M46.67%-4.11M17.50%-4.43M-119.68%-19.83M-155.13%-2.64M-147.25%-4.13M-474.55%-7.7M
Cash from discontinued financing activities
Financing cash flow -138.45%-168.35M116.52%1.71B-224.43%-385.6M929.09%1.34B172.23%312.58M-43.99%437.85M-71.75%789.57M-73.89%309.9M-74.85%130.68M-203.26%-432.78M
Net cash flow
Beginning cash position -24.48%977.4M15.09%1.29B-22.22%1.05B-21.74%969.45M-34.55%1.1B15.09%1.29B47.26%1.12B32.49%1.35B12.38%1.24B51.23%1.68B
Current changes in cash 70.20%-57.15M-286.69%-316.75M-29.89%-72.88M-27.54%80.83M70.17%-132.91M-134.26%-191.79M-52.99%169.66M-153.26%-56.11M234.22%111.54M-3,774.98%-445.62M
End cash position -16.52%920.25M-24.48%977.4M-24.48%977.4M-22.22%1.05B-21.74%969.45M-34.55%1.1B15.09%1.29B15.09%1.29B32.49%1.35B12.38%1.24B
Free cash flow 58.95%-352.32M-124.77%-2.69B75.48%-202.59M-89.04%-682.26M-781.72%-945.32M-974.97%-858.3M-490.77%-1.2B-4,558.52%-826.08M-488.24%-360.91M-161.09%-107.21M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

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