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Balance Sheet - BADGER METER INC (BMI)

$(Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17 Dec-16 Dec-15 Dec-14 Dec-13 Dec-12 Dec-11 Dec-10 Dec-09 Dec-08 Dec-07 Dec-06
Total cash and short-term investments + 226.02 295.31 191.78 138.05 87.17 72.27 48.87 13.09 11.16 7.34 8.16 6.66 7.26 6.55 4.98 3.09 13.33 6.22 8.67 3.00
Accounts receivable, net 112.36 84.33 83.51 76.65 65.87 61.69 61.37 66.30 58.21 59.82 56.64 53.97 50.13 45.58 41.17 40.43 35.81 35.77 30.64 29.28
Inventories 151.94 143.41 153.67 119.86 99.61 81.59 81.95 80.80 85.17 77.70 76.00 71.77 60.94 61.00 49.44 48.32 32.48 39.32 34.09 33.29
Other current assets 16.77 17.08 13.21 13.27 8.71 8.14 7.91 8.94 8.15 12.31 9.85 12.05 12.02 8.24 5.62 5.50 5.06 5.23 6.53 13.79
Total current assets 507.08 540.12 442.18 347.83 261.36 223.69 200.09 164.66 158.62 151.01 146.73 141.11 127.16 121.37 101.20 97.34 86.68 86.53 79.93 79.36
Total non-current assets + 466.50 276.30 274.74 255.22 269.46 247.53 221.80 228.03 233.10 199.01 206.15 200.05 188.90 169.08 117.72 118.53 104.34 108.83 70.37 60.02
Total assets 973.58 816.41 716.92 603.05 530.82 471.22 421.89 392.69 391.73 350.02 352.88 341.16 316.06 290.45 218.91 215.86 191.02 195.36 150.30 139.38
Total current liabilities + 150.72 118.21 131.95 110.31 82.15 68.04 57.25 60.02 93.11 75.84 104.54 107.08 98.04 94.08 22.41 32.68 26.26 50.79 41.21 45.71
Total non-current liabilities + 109.57 91.98 68.49 50.31 45.60 41.92 33.58 29.17 21.17 17.65 18.66 19.75 21.45 25.13 17.22 14.80 20.29 33.55 17.12 21.85
Total liabilities 260.28 210.18 200.44 160.63 127.75 109.96 90.83 89.19 114.28 93.49 123.21 126.83 119.50 119.21 39.63 47.48 46.56 84.34 58.33 67.56
Total stockholders' equity + 713.29 606.23 516.48 442.42 403.07 361.26 331.07 303.50 277.45 256.21 232.28 214.33 196.56 171.25 179.28 168.38 144.46 111.02 91.97 71.82
Common shares outstanding 30 30 29 29 29 29 29 29 29 29 29 29 29 29 30 30 30 30 29 29
Show Quarterly Balance Sheet

Balance Sheet - BADGER METER INC (BMI)

$(Billion, Million)
Mar-26 Dec-25 Sep-25 Jun-25 Mar-25 Dec-24 Sep-24 Jun-24 Mar-24 Dec-23 Sep-23 Jun-23 Mar-23 Dec-22 Sep-22 Jun-22 Mar-22 Dec-21 Sep-21 Jun-21 Mar-21 Dec-20 Sep-20 Jun-20 Mar-20 Dec-19 Sep-19 Jun-19 Mar-19 Dec-18 Sep-18 Jun-18 Mar-18 Dec-17 Sep-17 Jun-17 Mar-17 Dec-16 Sep-16 Jun-16 Mar-16 Dec-15 Sep-15 Jun-15 Mar-15 Dec-14 Sep-14 Jun-14 Mar-14 Dec-13 Sep-13 Jun-13 Mar-13 Dec-12 Sep-12 Jun-12 Mar-12 Dec-11 Sep-11 Jun-11 Mar-11 Dec-10 Sep-10 Jun-10 Mar-10 Dec-09 Sep-09 Jun-09 Mar-09 Dec-08 Sep-08 Jun-08 Mar-08 Dec-07 Sep-07 Jun-07 Mar-07 Dec-06 Sep-06 Jun-06 Mar-06
Total cash and short-term investments + 205.45 226.02 201.69 165.21 131.36 295.31 258.96 226.21 199.31 191.78 162.91 141.81 128.36 138.05 114.79 100.21 89.22 87.17 67.04 57.36 51.40 72.27 93.90 85.20 70.38 48.87 37.73 23.89 15.03 13.09 10.63 12.13 13.53 11.16 13.39 13.85 11.31 7.34 10.67 7.36 9.94 8.16 4.08 12.68 8.37 6.66 10.37 6.76 6.41 7.26 4.62 2.71 3.79 6.55 6.06 6.51 6.66 4.98 5.79 4.27 2.32 3.09 2.67 2.59 12.99 13.33 10.92 6.33 6.09 6.22 4.94 5.40 6.29 8.67 4.55 5.99 1.78 3.00 4.28 3.51 5.77
Accounts receivable, net 110.29 112.36 115.06 117.67 111.86 84.33 93.43 106.23 92.29 83.51 89.06 84.02 84.25 76.65 83.49 77.25 78.15 65.87 73.75 63.95 61.64 61.69 57.71 54.02 59.16 61.37 61.41 60.29 68.10 66.30 70.03 65.30 63.37 58.21 68.88 64.43 65.96 59.82 57.97 61.33 59.19 56.64 59.73 61.96 53.19 53.97 58.01 60.80 54.66 50.13 56.06 52.70 47.30 45.58 53.69 51.67 51.05 41.17 43.20 45.61 37.86 40.43 53.42 50.58 41.53 35.81 36.64 34.38 34.75 35.77 35.79 38.04 33.82 30.64 34.89 37.31 31.32 29.28 41.32 38.26 34.92
Inventories 175.19 151.94 152.63 147.26 149.41 143.41 158.52 161.27 160.44 153.67 147.79 144.75 132.34 119.86 113.61 111.44 103.02 99.61 91.82 90.79 84.25 81.59 76.99 76.85 74.43 81.95 84.84 83.32 80.55 80.80 84.35 85.66 85.13 85.17 77.01 73.89 70.30 77.70 82.44 80.72 76.18 76.00 75.74 71.72 72.01 71.77 64.20 63.20 63.98 60.94 54.37 53.61 58.50 61.00 60.21 61.08 57.92 49.44 47.79 47.23 52.50 48.32 41.27 38.26 34.73 32.48 36.29 38.70 40.05 39.32 44.89 39.53 38.42 34.09 35.78 34.70 34.14 33.29 32.81 36.27 32.94
Other current assets 17.37 16.77 25.21 18.14 18.96 17.08 18.40 15.51 18.56 13.21 23.19 18.01 15.89 13.27 13.74 15.03 10.89 8.71 13.08 7.21 6.82 8.14 4.16 7.34 7.46 7.91 15.14 16.07 15.08 8.94 11.76 10.14 9.46 8.15 7.94 8.67 9.27 12.31 11.34 5.51 5.46 5.93 9.84 9.81 8.37 8.71 9.29 8.97 8.25 8.83 7.60 7.42 7.86 8.24 7.00 7.39 7.78 5.62 6.41 7.15 7.47 5.50 5.20 5.94 6.02 5.06 5.96 6.00 6.78 5.23 6.93 7.59 7.74 6.53 7.82 9.84 14.24 13.79 6.08 6.46 6.57
Total current assets 508.30 507.08 494.59 448.28 411.58 540.12 529.30 509.22 470.60 442.18 422.95 388.59 360.84 347.83 325.63 303.92 281.28 261.36 245.69 219.31 204.11 223.69 232.75 223.41 211.43 200.09 191.54 175.54 171.22 164.66 170.88 168.15 166.76 158.62 163.26 156.50 152.20 151.01 156.75 154.90 150.76 146.73 149.39 156.17 141.95 141.11 141.87 139.72 133.30 127.16 122.65 116.45 117.45 121.37 126.96 126.65 123.41 101.20 103.18 104.27 100.15 97.34 102.56 97.36 95.27 86.68 89.81 85.41 87.67 86.53 92.55 90.56 86.26 79.93 83.04 87.84 81.48 79.36 84.48 84.50 80.19
Total non-current assets + 462.51 466.50 483.68 488.15 488.02 276.30 273.57 272.04 272.88 274.74 266.81 270.67 272.56 255.22 248.75 256.11 264.66 269.46 273.34 279.70 282.18 247.53 215.89 216.13 219.53 221.80 225.95 229.32 232.03 228.03 230.44 232.95 228.51 233.10 222.84 222.25 201.37 199.01 200.38 202.89 205.68 206.15 203.43 200.98 200.48 200.05 188.79 189.25 190.38 188.90 186.24 185.32 169.34 169.08 169.71 171.29 173.53 117.72 117.30 118.83 120.13 118.53 118.65 111.69 103.26 104.34 104.99 109.44 107.87 108.83 101.59 100.85 71.95 70.37 68.57 66.67 62.10 60.02 74.24 75.38 73.52
Total assets 970.81 973.58 978.27 936.42 899.60 816.41 802.86 781.26 743.47 716.92 689.76 659.25 633.40 603.05 574.37 560.03 545.94 530.82 519.03 499.02 486.30 471.22 448.64 439.53 430.96 421.89 417.49 404.86 403.25 392.69 401.32 401.11 395.27 391.73 386.09 378.75 353.57 350.02 357.13 357.79 356.43 352.88 352.82 357.15 342.43 341.16 330.67 328.97 323.68 316.06 308.89 301.76 286.79 290.45 296.67 297.94 296.94 218.91 220.48 223.11 220.28 215.86 221.22 209.04 198.53 191.02 194.79 194.85 195.54 195.36 194.14 191.41 158.21 150.30 151.61 154.51 143.58 139.38 158.72 159.87 153.71
Total current liabilities + 169.42 150.72 153.42 138.71 141.02 118.21 129.16 138.12 135.09 131.95 128.78 118.91 115.79 110.31 101.79 97.34 88.51 82.15 79.84 72.31 71.77 68.04 60.19 62.70 60.46 57.25 58.85 54.31 57.92 60.02 77.87 85.63 88.55 93.11 92.49 90.27 75.50 75.84 87.66 93.88 98.84 104.54 100.62 111.72 106.78 107.08 95.15 100.72 102.76 98.04 95.15 96.04 89.42 94.08 104.27 107.11 96.07 22.41 25.92 30.76 34.86 32.68 43.29 34.34 30.26 26.26 36.89 45.14 47.26 50.79 61.54 69.53 43.82 41.21 46.33 54.60 48.09 45.71 52.44 52.03 41.87
Total non-current liabilities + 110.96 109.57 122.34 120.12 116.89 91.98 82.51 80.00 72.81 68.49 68.27 64.75 59.58 50.31 49.73 46.51 47.55 45.60 47.37 44.86 44.68 41.92 36.90 35.69 34.78 33.58 35.01 34.10 36.71 29.17 28.22 27.01 25.99 21.17 19.47 19.07 17.21 17.65 16.96 18.00 19.01 18.66 22.78 21.81 19.77 19.75 21.33 21.38 21.12 21.45 27.94 27.87 24.86 25.13 25.32 31.08 33.09 17.22 11.82 14.09 14.52 14.80 15.54 19.82 19.93 20.29 19.82 25.27 31.48 33.55 22.13 16.89 16.21 17.12 19.84 19.79 21.35 21.85 24.11 24.46 33.45
Total liabilities 280.38 260.28 275.76 258.83 257.91 210.18 211.68 218.12 207.91 200.44 197.05 183.66 175.37 160.63 151.51 143.85 136.06 127.75 127.20 117.17 116.45 109.96 97.09 98.39 95.24 90.83 93.85 88.41 94.64 89.19 106.09 112.64 114.54 114.28 111.96 109.34 92.71 93.49 104.62 111.88 117.85 123.21 123.39 133.53 126.56 126.83 116.48 122.10 123.88 119.50 123.09 123.90 114.28 119.21 129.59 138.18 129.16 39.63 37.73 44.86 49.38 47.48 58.84 54.16 50.19 46.56 56.71 70.41 78.74 84.34 83.67 86.43 60.03 58.33 66.17 74.39 69.44 67.56 76.56 76.49 75.32
Total stockholders' equity + 690.43 713.29 702.51 677.59 641.69 606.23 591.19 563.14 535.57 516.48 492.71 475.59 458.04 442.42 422.86 416.18 409.88 403.07 391.82 381.85 369.85 361.26 351.54 341.14 335.72 331.07 323.64 316.45 308.61 303.50 295.23 288.47 280.72 277.45 274.13 269.41 260.86 256.21 252.51 245.91 238.58 232.28 229.43 223.62 215.87 214.33 214.19 206.87 199.80 196.56 185.80 177.86 172.52 171.25 167.08 159.76 167.78 179.28 182.74 178.25 170.90 168.38 162.38 154.88 148.33 144.46 138.08 124.31 116.80 111.02 110.47 104.98 98.18 91.97 85.44 80.12 74.14 71.82 82.17 83.38 78.39
Common shares outstanding 29 30 30 30 30 29 30 30 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 29 28 28 28 29 30 30 30 30 30 30 30 30 30 30 30 30 30 30 30 30 30 30 29 29 29 29 28 29 29
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