Rush Street Interactive, Inc.
← Back to RSI Overview

Rush Street Interactive, Inc. (RSI)

Solvency & Capital Structure

Total Debt

Net Debt

-$339.9M

Rush Street Interactive, Inc. currently has in total debt. Net debt is -$339.9M after cash offsets. This 'Net Cash' position indicates exceptional financial strength.

Financial Fundamentals

RSIQuarterly Data • 5Y View

DateTotal Debt ($B)Cash & Inv. ($B)Net Debt ($B)Total AssetsDebt/Assets
2026-06-300.000.34-0.34Net Cash0.790.0%
2026-03-310.010.33-0.33Net Cash0.680.8%
2025-12-310.020.34-0.32Net Cash0.662.8%
2025-09-300.010.27-0.27Net Cash0.591.0%
2025-06-300.010.25-0.24Net Cash0.541.9%
2025-03-310.010.23-0.22Net Cash0.392.6%
2024-12-310.000.23-0.22Net Cash0.381.2%
2024-09-300.010.22-0.21Net Cash0.362.5%
2024-06-300.000.20-0.20Net Cash0.340.7%
2024-03-310.000.19-0.19Net Cash0.340.4%
2023-12-310.000.17-0.16Net Cash0.321.3%
2023-09-300.000.17-0.17Net Cash0.310.5%
2023-06-300.000.13-0.13Net Cash0.300.5%
2023-03-310.000.15-0.15Net Cash0.320.5%
2022-12-310.000.18-0.18Net Cash0.350.5%
2022-09-300.000.20-0.19Net Cash0.340.6%
2022-06-300.000.20-0.20Net Cash0.350.4%
2022-03-310.000.23-0.23Net Cash0.380.4%
2021-12-310.000.28-0.28Net Cash0.410.4%
2021-09-300.000.35-0.35Net Cash0.420.3%
2021-06-300.000.36-0.36Net Cash0.410.4%
2021-03-310.000.36-0.36Net Cash0.430.3%
2020-12-310.000.26-0.25Net Cash0.310.4%
2020-09-300.000.01-0.01Net Cash0.072.2%
2020-06-300.000.00-0.00Net Cash0.230.0%
2020-03-310.000.00-0.00Net Cash0.230.0%
2019-12-310.000.01-0.01Net Cash0.030.0%