Euronet Worldwide Q1 2025 10-Q Filed

Ticker: EEFT · Form: 10-Q · Filed: May 7, 2025 · CIK: 1029199

Euronet Worldwide, Inc. 10-Q Filing Summary
FieldDetail
CompanyEuronet Worldwide, Inc. (EEFT)
Form Type10-Q
Filed DateMay 7, 2025
Risk Levellow
Sentimentneutral

Sentiment: neutral

Topics: 10-Q, credit-facility, debt, financials

TL;DR

Euronet's Q1 10-Q is in: credit lines, 0.75% notes due 2049, and Ria Money Transfer highlighted.

AI Summary

Euronet Worldwide, Inc. filed its 10-Q for the period ending March 31, 2025. The filing details various financial instruments and credit facilities, including a foreign line of credit and a revolving credit facility. Notably, it mentions convertible notes with a 0.75% interest rate due in 2049 and a Ria Money Transfer segment.

Why It Matters

This filing provides insight into Euronet's financial structure and credit arrangements as of Q1 2025, which can impact its operational flexibility and future borrowing capacity.

Risk Assessment

Risk Level: low — This is a routine quarterly filing providing standard financial disclosures.

Key Numbers

  • 0.75% — Convertible Notes Interest Rate (Rate on debt due 2049)
  • 2049 — Convertible Notes Maturity (Long-term debt maturity)

Key Players & Entities

  • EURONET WORLDWIDE, INC. (company) — Filer
  • 20250331 (date) — Reporting Period End Date
  • 0.75Percent (dollar_amount) — Interest Rate on Convertible Notes
  • 2049 (date) — Maturity Date of Convertible Notes
  • Ria Money Transfer (company) — Business Segment

FAQ

What is the total amount outstanding under the revolving credit facility as of March 31, 2025?

The filing does not specify the total amount outstanding under the revolving credit facility as of March 31, 2025, but mentions details related to it on December 17, 2024.

What are the terms of the foreign line of credit mentioned in the filing?

The filing mentions a foreign line of credit and its maximum and minimum members, with dates related to October 9, 2024, and March 31, 2025, but specific terms are not detailed.

What is the status of the convertible notes due in 2049?

The filing indicates that the convertible notes with a 0.75% interest rate due in 2049 were active during the period from March 1, 2025, to March 31, 2025.

Are there any new loan agreements or notes receivable mentioned?

The filing references an uncommitted loan agreement as of March 31, 2025, and notes receivable dated March 27, 2025.

What specific financial activities are highlighted for the Ria Money Transfer segment?

The filing notes Ria Money Transfer in relation to a minimum member context as of March 31, 2025, but does not provide detailed financial performance for the segment.

Filing Details

This Form 10-Q (Form 10-Q) was filed with the SEC on May 7, 2025 regarding EURONET WORLDWIDE, INC. (EEFT).

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