Corsair Gaming, Inc.

Corsair Gaming, Inc.

CRSRยทNASDAQ

$10.47

-9.2%
TechnologyComputer Hardware

Corsair Gaming, Inc., together with its subsidiaries, designs, markets, and distributes gaming and streaming peripherals, components and systems in the Americas, Europe, the Middle East, and the Asia Pacific. The company offers gamer and creator peripherals, including gaming keyboards, mice, headsets, and controllers, as well as capture cards, stream decks, USB microphones, studio accessories, and EpocCam software. It also provides gaming components and systems comprising power supply units, cooling solutions, computer cases, and DRAM modules, as well as prebuilt and custom-built gaming PCs, and others; and PC gaming software comprising iCUE for gamers and Elgato's streaming suite for streamers and content creators. In addition, the company offers coaching and training, and other services. It sells its products through a network of distributors and retailers, including online retailers, as well as directly to consumers through its website. The company was incorporated in 1994 and is headquartered in Fremont, California. Corsair Gaming, Inc. is a subsidiary of Corsair Group (Cayman), LP.

At a Glance

Live Snapshot
Market Cap$1.12B
EPS-0.1200
P/E Ratio-87.29
Earnings Date08/06/2026
3Y-3.0%
5Y-5.0%
10Y+426.0%
3Y-5.0%
5Y-31.0%
10Y+195.0%
3Y-1.0%
5Y+48.0%
10Y+1893.0%
crsr

Corsair Gaming, Inc. Funding & Solvency Profile

CRSR ยท NASDAQ
Cash & Cash Equivalents98.58M
Net Receivables233.90M
Inventory303.34M
Other Current Assets29.64M
Total Current Assets665 M
Property, Plant & Equipment31.51M
Goodwill & Intangible Assets482.98M
Long-Term Investments250.00K
Other Non-Current Assets73.59M
Total Non-Current Assets105 M
Total Assets
1.25B

Financial Health Analysis

Current Ratio

1.54x

Strong liquidity. The company has adequate resources to meet short-term liabilities.

Debt-to-Equity Ratio

0.94x

Balanced capital structure with moderate leverage. Equity exceeds debt, suggesting healthy financial stability.

Working Capital

235 M

Strong working capital position provides significant operational flexibility and financial cushion.

Asset Composition

53% Current

Balanced asset mix between current and non-current assets, typical of many stable businesses.

Financial Health Insight

Strong financial foundation: Excellent liquidity combined with conservative leverage suggests the company is well-positioned to weather economic uncertainties and fund growth opportunities.

Corsair Gaming, Inc. Balance Sheet

CRSR โ€ข NASDAQ

Corsair Gaming, Inc. Balance SheetDec 2025Dec 2024Dec 2023Dec 2022Dec 2021Dec 2020Dec 2019Dec 2018Dec 2017Dec 2016
ASSETS
CURRENT ASSETS
98.6M
107M
175.6M
151.2M
62.4M
129.5M
48.2M
25.6M
19M
49M
98.6M
107M
175.6M
151.2M
62.4M
129.5M
48.2M
25.6M
19M
49M
233.9M
218.6M
253.3M
235.7M
291.3M
293.6M
202.3M
122M
120.2M
81.9M
233.9M
218.6M
253.3M
235.7M
291.3M
293.6M
202.3M
122M
119.8M
81.6M
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
437K
245K
303.3M
260M
240.2M
192.7M
298.3M
226M
151.1M
149M
113.5M
93.3M
0.0
0.0
0.0
0.0
51M
38M
24.7M
17.3M
5.7M
6.2M
29.6M
37.8M
42.5M
43.2M
2.7M
3.8M
3.6M
2.3M
3M
1.3M
665.5M
623.4M
711.6M
622.8M
705.8M
691M
429.8M
316.3M
258.5M
230.4M
NON-CURRENT ASSETS
31.5M
82.3M
68.5M
80.1M
68.2M
42.5M
15.4M
12.5M
9.1M
5.4M
357.8M
354.2M
354.7M
347.7M
317.1M
312.8M
312.8M
226.7M
199M
0.0
125.2M
164.3M
188M
216.3M
225.7M
259.3M
291M
247.8M
259.4M
19K
483M
518.5M
542.7M
564M
542.8M
572.1M
603.8M
474.5M
458.3M
19K
250K
246K
239K
0.0
0.0
0.0
230K
0.0
0.0
0.0
0.0
6.5M
27.7M
23.6M
12.7M
4.8M
-230K
0.0
0.0
0.0
73.6M
4.9M
6.6M
6.8M
7.9M
3.8M
10.8M
7.7M
4.9M
2.4M
588.3M
612.4M
645.9M
674.5M
631.6M
623.1M
629.9M
494.7M
472.3M
7.8M
1.3B
1.2B
1.4B
1.3B
1.3B
1.3B
1.1B
811M
730.8M
238.2M
LIABILITIES
CURRENT LIABILITIES
212.5M
207.2M
243.6M
186.7M
242.4M
322.1M
190.5M
154.8M
121.5M
107.3M
212.5M
207.2M
240M
172M
236.1M
299.6M
182M
154.8M
121.5M
107.3M
0.0
0.0
3.7M
14.7M
6.3M
22.4M
8.5M
0.0
0.0
0.0
0.0
118.2M
18M
112.5M
142.7M
119.7M
10.6M
8.4M
11.7M
8.2M
6.1M
12.2M
12.2M
6.5M
4.8M
0.0
2.4M
28.6M
548K
4.3M
0.0
15.8M
9.7M
11.1M
9.5M
9.1M
0.0
-3.6M
-2.8M
-3M
0.0
9.2M
14.3M
14.7M
6.3M
22.4M
17.1M
4.6M
4.8M
4.8M
0.0
7.3M
7.4M
6.3M
6.7M
0.0
4.2M
4.6M
4.8M
4.8M
212.3M
35.5M
127.5M
20M
40.7M
54.5M
92.2M
22.7M
15.2M
14.3M
430.9M
396.3M
418.5M
343M
446.7M
505.4M
299.9M
219.1M
153.7M
138.8M
NON-CURRENT LIABILITIES
115.2M
161.3M
186M
232.2M
242.9M
321.4M
503.4M
394.1M
283.7M
66.7M
6.1M
7.4M
17.4M
18.1M
25.7M
29.8M
33.8M
34.7M
42M
0.0
55.8M
3.7M
3M
3.1M
2.7M
2.6M
5.7M
412K
42.4M
331K
177.1M
220.1M
245M
298.8M
322.5M
371.3M
543M
429.2M
326.1M
67M
0.0
63.5M
48.3M
56.5M
60.6M
26.6M
0.0
0.0
0.0
0.0
608M
616.4M
663.5M
641.8M
769.2M
876.7M
842.9M
648.3M
479.9M
205.8M
SHAREHOLDERS' EQUITY
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
-92.2M
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
0.0
69.2M
705.4M
10K
10K
10K
9K
9K
8K
8K
15K
1K
0.0
667.6M
630.6M
593.5M
470.4M
438.7M
325M
258.2M
249.1M
18M
-71.2M
-58.8M
40.4M
37.2M
98.1M
-2.8M
-106M
-93.2M
1.9M
35.4M
-585K
-4.6M
-3.5M
-6.9M
-340K
1.5M
-2.2M
-2.4M
-157K
2M
633.6M
604.3M
667.6M
623.8M
568.2M
437.4M
216.8M
162.7M
250.9M
32.4M
645.8M
619.5M
694M
655.4M
568.2M
437.4M
216.8M
162.7M
250.9M
32.4M
12.2M
15.1M
26.4M
31.6M
0.0
0.0
0.0
0.0
0.0
0.0
SUMMARY
1.3B
1.2B
1.4B
1.3B
1.3B
1.3B
1.1B
811M
730.8M
238.2M
250K
246K
239K
0.0
0.0
0.0
230K
0.0
0.0
0.0
121.3M
237M
246.5M
295.2M
308.3M
348M
505.8M
422.7M
284.3M
71M
22.8M
130M
70.9M
144M
245.8M
218.5M
457.6M
397.1M
265.3M
21.9M
105,538,013
105,538,013
105,538,013
105,538,013
105,538,013
105,538,013
105,538,013
105,538,013
105,538,013
105,538,013

SEC Filings

CRSR - Filing history and reports

Filing TypeFiling DatePeriod EndingFiscal YearActions
10-Q

10-Q 2026 Q1

Q1

May 07, 2026
March 31, 2026
2026
8-K

8-K 2026

N/A

May 07, 2026
May 07, 2026
2026
DEF 14A

DEF 14A 2026

N/A

April 30, 2026
April 30, 2026
2026
8-K

8-K 2026

N/A

March 11, 2026
March 05, 2026
2026
10-K

10-K 2025 FY

FY

February 25, 2026
December 31, 2025
2025
8-K

8-K 2026

N/A

February 12, 2026
February 12, 2026
2026
8-K

8-K 2025

N/A

November 20, 2025
November 20, 2025
2025
8-K

8-K 2025

N/A

November 04, 2025
November 04, 2025
2025
10-Q

10-Q 2025 Q3

Q3

November 04, 2025
September 30, 2025
2025
S-3/A

S-3/A (Amended)

N/A

August 13, 2025
August 13, 2025
ย 
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