展品 99.2

1納斯達克:瑞麗2021年第四季度補充財務數據2022年2月23日

2 2 Reconciliation of U.S. GAAP to Non - GAAP Measures (Unaudited, dollars in thousands) Q4 2020 Q1 2021 Q2 2021 Q3 2021 Q4 2021 Adj. EBITDA and Operating Adj. EBITDA Reconciliation Net income attributable to B. Riley Financial, Inc. $ 171,594 $ 254,656 $ 75,676 $ 50,550 $ 64,172 EBITDA Adjustments: Provision for income taxes 62,060 97,518 19,902 22,693 23,847 Interest expense 16,712 19,786 20,856 25,372 26,441 Interest income (27) (49) (56) (70) (54) Share based payments 4,321 5,526 8,608 9,374 12,503 Depreciation and amortization 4,604 6,759 6,165 6,142 6,805 Gain on extinguishment of loans — — (6,509) — — Transactions related costs and other 1,222 1,285 245 40 4,311 Total EBITDA Adjustments 88,892 130,825 49,211 63,551 73,853 Adjusted EBITDA $ 260,486 $ 385,481 $ 124,887 $ 114,101 $ 138,025 Operating EBITDA Adjustments: Trading income and fair value adjustments on loans (140,160) (266,942) (32,679) (18,197) (68,858) Other investment related expenses 6,461 4,178 (84) 5,187 36,930 Total Operating EBITDA Adjustments (133,699) (262,764) (32,763) (13,010) (31,928) Operating Adjusted EBITDA $ 126,787 $ 122,717 $ 92,124 $ 101,091 $ 106,097

3 3 Operating Income Summary 1. Other investment related expenses. (Unaudited, dollars in thousands) Operating Investment Combined Operating Investment Combined Revenues: Services and fees $ 315,848 - $ 315,848 $ 237,270 - $ 237,270 Trading income and fair value adjustments on loans - 68,858 68,858 - 140,160 140,160 Interest income – loans & securities lending 33,443 - 33,443 30,116 - 30,116 Sale of goods 3,961 - 3,961 2,660 - 2,660 Total revenues $ 353,252 $ 68,858 $ 422,110 $ 270,046 $ 140,160 $ 410,206 Operating expenses: Direct cost of services $ 12,955 - $ 12,955 $ 9,250 - $ 9,250 Cost of goods sold 5,559 - 5,559 1,018 - 1,018 Selling, general and administrative expenses 233,782 36,930 (1) 270,712 130,627 6,461 (1) 137,088 Interest expense – securities lending & loan participations sold 12,362 - 12,362 11,782 - 11,782 Total operating expenses $ 264,658 $ 36,930 $ 301,588 $ 152,677 $ 6,461 $ 159,138 Operating income $ 88,594 $ 31,928 $ 120,522 $ 117,369 $ 133,699 $ 251,068 Three Months Ended December 31, 2021 Three Months Ended December 31, 2020

4 4季度營業收入和營業調整後EBITDA營業收入和營業調整後EBITDA(1)(3)(5)(6)(以千美元為單位)2020年第四季度2021年第一季度第二季度2021年第三季度2021年第四季度營業收入(1)$270,046$333,217$304,091$363,325$353,252投資收益(2)140,160 266,942 32,679 18,197 68,813,010 31,928調整後EBITDA(5)(6)$260,486$385,481$124,887$114,101$138,025季度收入和調整後EBITDA 1.營業收入定義為(I)服務和費用收入之和,(Ii)利息收入-貸款及證券借貸;及。(Iii)售貨。2.投資收益(虧損)是指貸款的交易收益(虧損)和公允價值調整。3.營業調整後EBITDA定義為調整後EBITDA,不包括(I)貸款的交易收入(虧損)和公允價值調整以及(Ii)其他投資相關費用。4.投資調整後EBITDA的定義是貸款的交易收益(虧損)和公允價值調整減去其他投資相關費用。5.調整後的EBITDA包括扣除利息、税項、折舊、攤銷、重組成本、基於股份的支付、貸款清償收益、商號減值、交易相關成本和其他成本前的收益。6.有關GAAP財務衡量標準的對賬,請參閲幻燈片2。$2.70億$333.2億$3.041億$3.633億$3.533億$1.268億$1.227億$9210萬$1.011億美元2020年Q4 Q1 2021年Q2 2021Q3 2021年Q4 2021年營業收入營業收入調整EBITDA

5 5 Cash and Investments Summary (Dollars in thousands) Dec 31, 2020 Mar 31, 2021 Jun 30, 2021 Sep 30, 2021 Dec 31, 2021 Cash and Cash Equivalents $ 103,602 $ 237,590 $ 297,396 $ 378,205 $ 278,933 Restricted Cash 1,235 8,532 1,335 927 927 Due (to)/from Clearing Brokers, net (6,583) 416,925 424,949 599,715 (39,741) Advances Against Customer Contracts 200 200 200 200 200 Securities and Other Investments Owned Equity Securities 697,288 1,006,019 1,129,217 1,276,191 1,444,474 Corporate Bonds 3,195 41,754 42,912 5,401 7,632 Other Fixed Income Securities 1,913 5,165 3,227 4,436 2,606 Partnership Interests and Other 74,923 113,766 103,417 66,072 77,383 Securities Sold Not Yet Purchased (10,105) (288,058) (272,088) (419,211) (28,623) Loans Receivable, net of Loan Participations Sold 373,373 282,855 265,851 350,762 873,186 Other investments and deposits (1) 59,612 48,881 53,510 43,369 40,187 Noncontrolling interest (2) — (4,326) (11,254) (16,558) (17,785) Total Cash, Net Securities, and Other $1,298,653 $1,869,303 $2,038,672 $2,289,509 $2,639,379 (Dollars in thousands) Dec 31, 2020 Mar 31, 2021 Jun 30, 2021 Sep 30, 2021 Dec 31, 2021 Term Loans $ 74,213 $ 69,543 $ 257,104 $ 252,927 $ 346,385 Revolving Credit Facility — — — 80,000 80,000 Notes Payable 37,967 6,908 357 357 357 Senior Notes Payable, net 870,783 1,139,100 1,213,105 1,362,847 1,606,560 Total Debt 982,963 1,215,551 1,470,566 1,696,131 2,033,302 Total Cash and Investments, Net of Debt $ 315,690 $ 653,752 $ 568,106 $ 593,378 $ 606,077 1. Other investments and investment related deposits reported in prepaid and other assets. 2. Noncontrolling interest related to investments reported in Securities and Other Investments Owned. Debt Summary

6 6簡明綜合資產負債表(千美元)2021年12月31日(未經審計)2020年12月31日現金和現金等價物$278,933$103,602應從結算經紀人那裏得到的限制性現金927,253,089美元擁有的證券和其他投資,按公允價值1,532,095,777,319證券借入2,090,966,765,457應收賬款,淨額49,673 40,806應付關聯方的2,074,986應收貸款遞延税項淨額207,651 190,745遞延税項淨額2,848 4,098總資產$5,851,919$2,662,730應付賬款$6,326$2,722應計費用和其他負債343,750 173,178遞延收入69,507 68,651遞延税項負債淨額93,055 34,248欠關聯方和合作夥伴的淨額-327由於結算經紀人69,398 13,672尚未購買的證券已借出28,623 10,105淨負債1,606,560 870,783總負債$4,801,718$2,123,770可贖回的子公司股權中的非控制權益345,000-Total B.Riley Financial,Inc.股東權益661,271 512,586非控制權益43,930 26,374總股本705,201 538,960總負債和股本$5,851,919$2,662,730

7 7綜合收益表(千美元,股票數據除外)截至2021年12月31日的3個月未經審計的收入:服務和費用$315,848$237,270$1,172,957$667,069貸款的交易收入和公允價值調整68,858 140,160 386,676 104,018利息收入-貸款和證券借貸33,443 30,116 122,723 102,499205 29,135總收入422,110 410,206 1,740,561 902,721營業費用:直接服務成本12,955 9,250 54,390 60,451銷售成本5,5591,018 26,953 12,460銷售,一般和行政費用270,712 137,088 906,196 428,537重組費用-1,557商號減值--12,500利息支出--證券借貸和貸款參與營業收入170 557,956營業收入120,522 251,068 700,391 344,765其他收入(費用):利息收入54 27 229 564(虧損)貸款和其他(4,471)--3,796--股權投資收入(虧損)1,629(478)2,801(623)利息支出(26,441)(16,712)(92,455)(65,249)所得税前收入91,293 233(163,960)(75,440)淨收益67,446 171,845 450,802 204,017屬於非控股權益的淨收益(虧損)3,274 251 5,748(1,131)B·萊利金融公司的淨收益$64,172$171,594$445,054$205,148普通股股東可獲得的淨收益1,990 1,480 7,457 4,710美元,182美元170,114美元437,597美元200, 438每股基本普通股收益$2.26$6.72$15.99$7.83稀釋每股普通股收益$2.08$6.55$15.09$7.56加權平均已發行基本普通股27,569,188 25,331,918 27,366,292 25,607278股加權平均稀釋後已發行普通股29,840,704 25,966,501 29,005,602 26,508,397

8 8部門財務信息(未經審計,以千美元為單位)截至2020年12月31日的三個月資本市場部門:收入-服務和費用$143,492$150,098貸款的交易收入和公允價值調整67,718 139,750利息收入-貸款和證券借貸33,443 30,116總收入244,653 319,964銷售,一般和行政費用(113,690)(73,118)利息費用-出售的證券貸款和貸款參與(12,362)(11折舊和攤銷(610)(522)分段收入117,991234,542財富管理部門收入-服務和費用103,80320,851貸款的交易收入和公允價值調整總額104,943 21,261銷售、一般和行政費用(96,799)(19,142)折舊和攤銷(2088)(459)分段收入6,056 1,660拍賣和清算部門:收入-667直接服務成本(2,977)(4,324)銷售成本(1,097)(406)銷售、一般和管理費用(4,350)(3,477)部門(虧損)收入$(2,706)$7,460(截至2020年12月31日的三個月)財務諮詢部門收入-服務和費用$27,877$26,480銷售,一般和管理費用(21,166)(19,折舊和攤銷(83)(131)分段收入6,628 6,873主要投資-通信部門:收入-服務和費用31,096 20,629收入-銷售貨物總收入33,872 21,383直接服務成本(9,978)(4,926)銷售貨物成本(4,462)(612)銷售,一般和行政費用(10,397)(6,000)折舊和攤銷300個品牌部門:收入-服務和費用5,047 5,451銷售, 一般和行政費用(840)(682)折舊和攤銷(602)(715)分部收入3,605 4,054應報告分部的合併營業收入$137,420$261,889

9 9部門財務信息(未經審計,以千美元為單位)截至2020年12月31日的12個月資本市場部門:收入-服務和費用$575,317$339,877貸款的交易收入和公允價值調整379,053 103,214利息收入-貸款和證券借貸122,723 102,499總收入1077,093 545,590銷售、一般和行政費用(345,455)(198,962)重組費用-(917)利息折舊和攤銷(2,136)(2,386)部門收入676,871 300,874財富管理部門收入-服務和費用374,361 72,345貸款的交易收入和公允價值調整7,623 804銷售、一般和行政費用(357,130)(68,368)部門收入(8,920)(1,880)部門收入15,934 2663總收入73,517 88,764直接服務成本(30,719)(40,730)售出貨物成本(20,675)(9,766)銷售、一般和行政費用(14,069)(12,357)重組費用-(140)折舊和攤銷-(2)部門收入$8,054$25,769截至2020年12月31日的12個月財務諮詢部門收入--服務和費用$94,312$91,669一般和行政費用(77,062)(68,232)重組費用-(500)折舊和攤銷(356)(347)分段收入16,894 22,543主要投資-通信部門:收入-服務和費用88,490 83,666收入-銷售貨物4,857 3,472總收入93,347 87,138直接服務成本(23,671)(19,721)銷售商品成本(6,278)(2,694, (493)(20,352)折舊和攤銷(10,747)(11,011)部門收入27,158 33,360品牌部門:收入-服務和費用20,308 16,458銷售、一般和行政費用(3,178)(2,889)折舊和攤銷(2,745)(2,858)商號減值-(12,500)部門收入(虧損)14,385(1,789)綜合營業收入

10美國GAAP對非GAAP財務指標的定義可被視為非GAAP財務指標,其中包括營業收入、調整後EBITDA、營業調整後EBITDA和投資調整後EBITDA。b.萊利金融認為,這些信息對投資者是有用的,因為它為衡量公司的可用資本資源、業務的經營業績以及收入和現金流提供了一個基礎,(I)不包括營業收入、交易收入(虧損)和貸款的公允價值調整,(Ii)不包括調整後的EBITDA、淨利息支出、所得税、折舊、攤銷、公允價值調整、重組成本、清償貸款收益、商號減損、基於股票的補償和交易以及其他(Iii)就經營經調整EBITDA而言,不包括上述經調整EBITDA的調整,以及貸款的交易收益(虧損)及公允價值調整,以及其他投資相關開支;及(Iv)就投資調整EBITDA而言,該等調整包括貸款的交易收益(虧損)及公允價值調整,扣除其他投資相關開支後,該等款項通常會計入根據公認會計原則(“GAAP”)計算及呈列的最直接可比計量。此外,公司管理層使用這些非GAAP財務指標以及最直接可比的GAAP財務指標來評估公司的經營業績、資本資源和現金流。非GAAP財務衡量標準不應與符合GAAP的財務信息分開考慮,也不應將其作為GAAP財務信息的替代品。, 本公司報告的非財務指標可能無法與其他公司報告的類似標題的金額相比較。