US · USD

GLXY

Galaxy Digital Holdings Ltd

$22.65-1.78% (-$0.41)
Day's range
$22.53 – $23.58
Day's volume
$100.1M
52-week range
$16.84 – $42.86

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GLXY in numbers

Dividend yield (12m)
0.00%

GLXY price history

10/06/202510/05/2026
Compare with

GLXY risk and return

Monthly closes adjusted for splits and distributions.

Metric12 months
Return-14.82%
Volatility (annualized)75.11%
Largest drawdown-34.71%
Positive months5/12

How much did investing in GLXY return?

$1,000.00 invested on 06/01/2025 would be worth $1,034.25 today.

Value today in GLXY
$1,034.25
Return over the period
+3.42%
Return per year
+2.54%
In the S&P 500
$1,252.86

With dividends reinvested, before taxes and costs, at month-end closes. Past returns do not guarantee future ones.

GLXY fundamentals

Debt

  • Net debt
    —
  • Net debt/EBITDA
    —
  • Net debt/Equity
    —
  • Debt/Equity
    —
  • Current ratio
    1.50
  • Quick ratio
    —
  • Cash ratio
    0.32

Efficiency

  • Gross margin
    —
  • EBITDA margin
    —
  • Operating margin
    —
  • Net margin
    -0.49%
  • Asset turnover
    5.28

Profitability

  • ROE
    -15.26%
  • ROA
    -2.57%
  • ROIC
    —
  • Payout
    —

GLXY's indicators by year

Multiples at each year's closing price; margins and returns from that year's statements.

Indicator202520242023
ROE-12.34%15.80%7,617,133.33%
Net margin-0.40%0.82%0.44%

GLXY's financial statements

Line202520242023
Net revenue$60.2B$42.5B$51.6B
Cost of revenue———
Gross profit———
EBITDA———
EBIT———
Financial result-$32.8M-$29M-$9.7M
Income before tax-$270.7M$329.8M$244.4M
Income tax$29.3M$16.9M-$15.9M
Net income-$241.3M$346.7M$228.5M

Figures the company filed with the CVM. Debt excludes leases; each quarter is that quarter alone.

Does GLXY pay dividends?

GLXY has no distributions on record.

About Galaxy Digital Holdings

Sector
Finance, insurance and real estate

Questions about GLXY

How much is GLXY today?

GLXY is at $22.65 (-1.78% on the day), last traded on 10/05/2026.

How much did GLXY return in 12 months?

GLXY returned -14.82% in 12 months, with annualized volatility of 75.11% and a largest drawdown of -34.71%.