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NYSE-RBLX
Mar '18
Jun '19
Sep '20
Dec '21
Mar '23
Jun '24
Sep '25
Trailing Valuation
Stock Price
138.5
105.2
58.3
57.9
44.3
37.2
Total Shares Outstanding
701.9
693.2
677.8
668.4
656.1
646.6
Market Cap
97,222.6
72,920.5
39,506.1
38,674.7
29,040.4
24,060.4
Total Enterprise Value (TEV)
95,955.4
71,911.3
38,421.2
37,928.8
28,332.3
23,349.8
Buyback Yield
-0.1%
-0.2%
Debt Paydown Yield
—
Shareholder Yield
P/S
21.8
18.1
10.3
10.7
8.6
7.6
P/Gross Profit
85.7
68.9
37.4
40.2
35
32
P/E
-96.9
-73.6
-43.5
-40.2
-27
-21.6
Earnings Yield
-1%
-1.4%
-2.3%
-2.5%
-3.7%
-4.6%
P/OCF
70.8
67.8
38.5
47
P/FCF
83.3
77.4
45
60.2
48.4
54.5
FCF Yield
1.2%
1.3%
2.2%
1.7%
2.1%
1.8%
P/B
238.5
206.4
127.2
174.6
152.9
198
EV/Sales
21.5
17.9
10
10.5
8.4
7.4
EV/Gross Profit
84.6
68
36.4
39.4
34.1
31.1
EV/EBITDA
-106.2
-82.4
-48.7
-45.3
-30
-23.8
EV/EBIT
-85.8
-65.4
-37.8
-35.7
-24.1
-19.5
EV/OCF
69.8
66.9
46.1
36.3
36.1
EV/FCF
82.2
76.4
43.8
59
47.2
52.9
Margins
Gross Profit Margin
25.4%
26.3%
27.5%
26.7%
24.7%
23.8%
Operating Margin
-25%
-27.3%
-26.5%
-29.5%
-34.9%
-37.9%
EBITDA Margin
-20.2%
-21.7%
-20.6%
-23.2%
-28.1%
-31.1%
Net Profit Margin
-21.8%
-23.8%
-23.1%
-26.1%
-34.3%
Effective Tax Rate
-0.5%
-0.4%
Pre-Tax Profit Margin
-23.7%
-23%
-26%
-31%
-34.2%
Free Cash Flow Margin
26.2%
23.4%
22.9%
17.8%
14%
OCF / Sales
30.8%
26.8%
22.8%
23.2%
20.5%
OCF / Net Income
-141%
-112.3%
-116.1%
-87.4%
-74.8%
-59.7%
FCF / OCF
85%
87.6%
85.4%
78.2%
76.8%
68.3%
FCF / Net Income
-119.8%
-98.4%
-99.1%
-68.3%
-57.4%
-40.8%
FCF / EBITDA
-129.2%
-107.9%
-111.1%
-76.8%
-63.5%
-45%
Capital Efficiency
Return on Invested Capital
-14.9%
-15.4%
-14.7%
-17.2%
-19.5%
-20.5%
Return on Assets
-14.3%
-13.9%
-16%
-18.3%
-19%
Return on Equity
-325.5%
-350.6%
-350.3%
-678.5%
-845.8%
-1,204.1%
Return on Total Capital
-69%
-67.4%
-61.4%
-64.6%
-72.2%
-71.6%
Return on Capital Employed
-30.1%
-28.4%
-32.1%
-36.9%
-38%
Return on Tangible Assets
-12.6%
-13.1%
-12.4%
-14.5%
-16.7%
-17.7%
Receivables Turnover
7.1
7.5
6.4
Days Sales Outstanding
51.1
51.7
56.8
49.2
Payables Turnover
50.6
56.6
51.3
48.6
Days Payables Outstanding
7.2
6.3
Cash Conversion Cycle
43.9
45.2
42.2
49.7
40.9
41.7
Asset Turnover
0.6
0.5
Fixed Asset Turnover
3.4
3.1
2.9
2.7
2.6
2.3
Operating Cycle
CapEx to OCF
0.2
0.1
0.3
CapEx to Revenue
0
CapEx to Depreciation
1
0.7
0.8
Financial Health
Total Debt
1,610.6
1,633.5
1,673.7
1,676.4
1,626.3
1,711.7
Net Debt
-1,249.9
-993.7
-1,070.9
-733.1
-696.7
-700.4
Current Ratio
Quick Ratio
Cash Ratio
Debt Ratio
Assets to Equity
22
23.2
25.1
34.4
37.5
58.1
Cash Flow to Debt Ratio
0.9
0.4
Long-term Debt to Assets
Intangibles to Total Assets
Net Current Asset Value
-3,830.3
-3,545.7
-3,249.9
-3,225.5
-3,129.9
-2,944.7
Goodwill / Assets
Debt / Equity
4.1
4.8
5.6
8
9.1
15.4
Total Debt / Capitalization
Long Term Debt / Capitalization
Long-Term Debt / Equity
Net Debt / EBITDA
1.4
1.1
EBIT / Interest Expense
-26.6
-24.7
-25.8
-28.5
-29.1
EBITDA / Interest Expense
-21.8
-21.1
-19.2
-20.3
-23
(EBITDA - Capex) / Interest Expense
-26.8
-24.4
-22.8
-27.4
-28.8
Per Share
Revenue per Share
6.6
6
5.8
5.3
5
Basic EPS
-1.4
-1.3
-1.6
-1.7
Diluted EPS
Book Value per Share
Tangible Book Value per Share
-0.1
Cash per Share
4.2
3.9
3.7
3.6
3.8
Operating Cash Flow per Share
2
1.6
1.3
1.2
Free Cash Flow per Share
1.7
CapEx per Share
Weighted Avg. Shares Outstanding
678.7
667.1
656.6
647.5
638.9
631
Weighted Avg. Shares Outstanding Diluted
Common Size
R&D to Revenue
33.9%
36.8%
38%
40.1%
42.5%
43.9%
SG&A to Revenue
16.6%
16.9%
16%
16.1%
17.1%
Stock-based Comp to Revenue
24.4%
26.5%
27%
28.2%
30%
30.5%