Company: CRCL
Filing Date: 2025-08-12
Form Type: S-1
Source: 0001193125-25-178989
Chunk: 151

Company: Circle Internet Group, Inc.
Filing Date: 2025-08-12
Form: S-1
Chunk 151
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 selected line items have been prepared on the same basis as our consolidated financial statements included elsewhere in this prospectus. In the opinion of management, the financial information set forth in the table below reflects all normal recurring adjustments necessary for the fair statement of changes in the selected line items for these periods. The following selected line items should be read together with our consolidated financial statements and related notes, included elsewhere in this prospectus.**

<div align='center'>96</div>

June 30, 2025 compared to December 31, 2024

|                                                                                                           |     | June 30,   
 2025       |            |     | December 31, 
 2024         |            |     | $ Change |            |   |     | % Change |        |    |
|:----------------------------------------------------------------------------------------------------------|:----|:-----------|-----------:|:----|:-------------|-----------:|:----|:---------|-----------:|:--|:----|:---------|-------:|:---|
| (in thousands, except percentage information)                                                             |     | -unaudited |            |     |              |            |     |          |            |   |     |          |        |    |
| ASSETS                                                                                                    |     |            |            |     |              |            |     |          |            |   |     |          |        |    |
| Current assets:                                                                                           |     |            |            |     |              |            |     |          |            |   |     |          |        |    |
| Cash and cash equivalents (including cash and cash equivalents segregated for corporate-held stablecoins) |     | $          |  1,706,390 |     | $            |  1,045,474 |     | $        |    660,916 |   |     |          |   63.2 | %  |
| Cash and cash equivalents segregated for the benefit of stablecoin holders                                |     |            | 61,365,920 |     |              | 43,918,572 |     |          | 17,447,348 |   |     |          |   39.7 | %  |
| Accounts receivable, net                                                                                  |     |            |     13,215 |     |              |      6,418 |     |          |      6,797 |   |     |          |  105.9 | %  |
| Stablecoins receivable, net