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Balance Sheet - Archrock, Inc. (AROC)

$(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 + 1.55 4.42 1.34 1.57 1.57 1.10 3.70 8.80 10.72 3.13 1.56 41.23 36.93 35.88 23.16 46.56 98.62 133.95 158.36 47.00
Accounts receivable, net 183.81 132.48 124.07 137.54 104.93 104.43 144.87 163.25 113.42 111.75 147.79 678.98 593.97 610.65 585.19 429.05 447.50 770.85 516.07 392.81
Inventories 109.75 89.69 81.76 84.62 72.87 63.67 74.47 76.33 90.69 93.80 129.41 403.57 413.93 387.71 361.69 396.29 489.98 527.10 411.44 175.81
Other current assets 118.80 6.54 5.99 8.23 7.20 12.82 9.19 10.71 6.22 6.08 6.12 61.50 58.29 93.48 112.48 252.62 397.93 270.79 399.87 -324.00
Total current assets 304.16 233.12 213.16 231.96 186.57 182.01 232.20 256.20 221.16 215.69 285.30 1,265.68 1,221.13 1,237.97 1,123.93 1,160.60 1,419.16 1,695.13 1,476.60 450.19
Total non-current assets + 4,045.14 3,591.08 2,442.79 2,366.79 2,403.40 2,597.71 2,877.77 2,296.32 2,186.84 2,199.09 2,421.46 3,591.47 3,006.03 3,016.88 3,236.74 3,580.93 3,873.79 4,397.50 5,386.92 1,891.84
Total assets 4,349.30 3,824.21 2,655.95 2,598.75 2,589.97 2,779.72 3,109.98 2,552.52 2,408.01 2,414.78 2,706.76 4,857.15 4,227.16 4,254.85 4,360.66 4,741.54 5,292.95 6,092.63 6,863.52 2,342.03
Total current liabilities + 197.15 188.60 152.14 148.57 125.25 111.69 138.74 150.74 130.86 106.53 135.10 610.72 640.71 774.54 669.88 758.20 837.03 917.22 806.12 265.21
Total non-current liabilities + 2,660.68 2,312.07 1,632.79 1,589.49 1,573.27 1,732.47 1,885.27 1,560.20 1,541.53 1,623.32 1,784.40 2,293.38 1,773.02 1,778.05 2,010.74 2,180.91 2,639.06 2,947.33 2,703.84 1,038.31
Total liabilities 2,857.83 2,500.67 1,784.93 1,738.06 1,698.53 1,844.17 2,024.01 1,710.94 1,672.39 1,729.85 1,919.50 2,904.10 2,413.73 2,552.59 2,680.62 2,939.11 3,476.09 3,864.55 3,509.96 1,303.52
Total stockholders' equity + 1,491.48 1,323.53 871.02 860.69 891.44 935.56 1,085.96 841.57 735.62 684.93 787.26 1,953.05 1,813.43 1,702.26 1,680.04 1,802.42 1,640.00 2,043.79 3,162.26 916.43
Common shares outstanding 175 162 154 153 152 151 138 109 70 69 68 69 66 63 63 62 61 65 46 31
Show Quarterly Balance Sheet

Balance Sheet - Archrock, Inc. (AROC)

$(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 + 4.46 1.55 4.08 5.86 4.84 4.42 3.75 0.92 3.83 1.34 0.48 1.19 3.05 1.57 2.04 1.95 1.26 1.57 3.49 3.31 1.93 1.10 1.48 2.21 3.22 3.70 3.50 2.35 4.14 8.80 7.02 6.35 5.20 10.72 2.65 2.60 10.81 3.13 5.36 27.83 4.79 1.56 34.01 24.82 53.50 41.23 35.30 55.42 62.76 36.93 38.35 38.22 34.48 35.88 23.36 22.66 24.70 23.16 30.75 36.85 39.42 46.56 88.80 90.24 87.82 98.62 91.16 109.13 125.13 133.95 125.93 128.46 140.93 158.36 95.52 45.75 42.90 47.00 16.86 24.65 42.23
Accounts receivable, net 184.61 183.81 192.28 179.92 164.83 132.48 149.02 115.35 105.30 124.07 129.31 120.68 110.99 137.54 127.33 129.32 115.16 104.93 108.94 106.39 107.54 104.43 130.86 124.59 138.62 144.87 157.34 146.83 145.29 163.25 141.78 130.60 116.00 113.42 119.69 109.24 101.25 111.75 110.59 119.06 132.90 147.79 612.59 630.81 628.36 678.98 626.06 618.20 564.84 593.97 635.58 670.90 658.76 610.65 668.13 613.39 406.12 585.19 460.35 578.48 560.27 429.05 434.00 420.81 405.85 447.50 436.05 551.90 738.71 770.85 598.99 528.03 603.98 516.07 500.88 207.31 191.93 392.81 199.03 171.76 139.87
Inventories 109.72 109.75 112.11 106.67 94.80 89.69 84.37 79.23 80.36 81.76 87.94 93.13 89.63 84.62 84.09 77.64 73.60 72.87 66.63 65.89 66.02 63.67 65.31 70.99 72.93 74.47 78.31 74.16 72.46 76.33 77.50 82.47 84.21 90.69 94.29 94.09 95.06 93.80 116.19 116.45 123.49 129.41 379.60 400.85 417.82 403.57 428.91 420.13 421.31 413.93 461.10 455.70 430.86 387.71 405.59 414.04 397.38 361.69 383.89 396.67 395.63 396.29 412.56 427.95 488.32 489.98 574.77 580.40 663.96 527.10 503.46 433.49 482.01 411.44 427.87 208.74 218.96 175.81 165.03 129.32 107.26
Other current assets 119.54 118.80 11.37 83.73 7.51 6.54 7.55 8.67 6.90 5.99 7.15 8.57 6.95 8.23 6.82 8.13 6.36 7.20 7.65 12.27 12.82 12.82 14.06 11.11 8.97 9.19 14.07 8.51 9.21 10.71 9.70 9.81 7.00 6.22 5.26 6.29 4.84 7.00 5.69 6.10 4.52 6.12 67.47 66.82 74.38 61.50 65.60 65.90 64.31 58.29 78.30 90.61 94.53 93.48 94.26 94.46 272.15 112.48 248.04 105.36 94.49 252.62 310.03 276.45 330.83 397.93 349.17 314.71 321.70 270.79 407.58 407.49 390.63 399.87 363.46 44.23 36.12 -297.71 32.99 34.10 28.79
Total current assets 308.62 304.16 319.84 376.19 271.97 233.12 244.68 204.17 193.71 213.16 224.88 223.57 210.62 231.96 220.28 217.04 196.38 186.57 186.71 187.86 188.31 182.01 211.70 208.89 223.74 232.20 253.14 231.51 228.67 256.20 232.70 226.71 211.07 221.16 222.18 212.47 212.21 215.69 237.83 269.45 265.70 285.30 1,170.59 1,195.17 1,255.98 1,265.68 1,251.13 1,264.42 1,242.96 1,221.13 1,303.25 1,359.27 1,322.09 1,237.97 1,262.75 1,231.22 1,137.57 1,123.93 1,175.26 1,160.23 1,131.18 1,160.60 1,266.24 1,242.92 1,292.41 1,419.16 1,446.18 1,548.16 1,837.95 1,695.13 1,628.32 1,482.40 1,601.95 1,476.60 1,387.72 506.02 489.91 450.19 413.91 359.81 318.15
Total non-current assets + 4,080.01 4,045.14 4,087.48 4,055.13 3,692.76 3,591.08 3,571.57 2,506.47 2,469.24 2,442.79 2,447.23 2,456.45 2,409.28 2,366.79 2,385.32 2,384.29 2,403.64 2,403.40 2,431.52 2,507.80 2,534.22 2,597.71 2,653.97 2,719.50 2,793.10 2,877.77 2,847.66 2,429.80 2,405.59 2,296.32 2,298.69 2,257.53 2,226.13 2,186.84 2,191.64 2,206.05 2,204.53 2,199.09 2,287.59 2,342.50 2,405.14 2,421.46 3,528.33 3,586.41 3,570.56 3,591.47 3,567.62 3,398.70 3,035.97 3,006.03 3,018.48 3,010.37 3,040.97 3,016.88 3,064.53 3,072.47 3,241.72 3,236.74 3,261.85 3,506.76 3,543.85 3,580.93 3,738.69 3,730.34 3,819.10 3,873.79 3,942.12 3,937.04 4,307.97 4,397.50 5,613.23 5,487.13 5,428.48 5,386.92 5,422.26 1,974.16 1,944.59 1,891.84 1,869.22 1,855.88 1,819.71
Total assets 4,388.63 4,349.30 4,407.32 4,431.31 3,964.73 3,824.21 3,816.25 2,710.65 2,662.94 2,655.95 2,672.11 2,680.02 2,619.91 2,598.75 2,605.60 2,601.33 2,600.02 2,589.97 2,618.22 2,695.66 2,722.53 2,779.72 2,865.67 2,928.39 3,016.84 3,109.98 3,100.80 2,661.31 2,634.26 2,552.52 2,531.39 2,484.24 2,437.20 2,408.01 2,413.83 2,418.52 2,416.75 2,414.78 2,525.42 2,611.94 2,670.84 2,706.76 4,698.92 4,781.58 4,826.54 4,857.15 4,818.76 4,663.12 4,278.94 4,227.16 4,321.73 4,369.64 4,363.05 4,254.85 4,327.28 4,303.69 4,379.30 4,360.66 4,437.11 4,666.99 4,675.03 4,741.54 5,004.93 4,973.26 5,111.50 5,292.95 5,388.31 5,485.21 6,145.92 6,092.63 7,241.55 6,969.53 7,030.43 6,863.52 6,809.98 2,480.18 2,434.50 2,342.03 2,283.13 2,215.69 2,137.86
Total current liabilities + 219.20 197.15 205.48 208.08 184.63 188.60 194.66 133.19 153.25 152.14 159.38 142.10 177.10 148.57 194.33 151.53 168.31 125.25 153.42 125.55 134.73 111.69 136.32 120.08 157.15 138.74 167.57 152.58 164.79 150.74 159.04 168.13 142.82 130.86 136.40 118.59 125.49 106.53 113.40 99.68 123.16 135.10 465.18 495.96 571.79 610.72 633.22 589.91 591.03 640.71 733.12 750.93 782.42 774.54 716.07 706.38 654.30 669.88 724.27 673.71 717.91 758.20 737.60 710.09 781.15 837.03 891.17 883.30 1,008.52 917.22 890.46 826.69 914.55 806.12 755.30 280.73 305.54 265.21 239.04 211.58 186.93
Total non-current liabilities + 2,651.42 2,660.68 2,779.56 2,814.80 2,430.12 2,312.07 2,330.85 1,682.96 1,627.62 1,632.79 1,651.64 1,682.39 1,589.76 1,589.49 1,541.46 1,575.88 1,559.39 1,573.27 1,560.75 1,656.29 1,664.67 1,732.47 1,779.66 1,857.44 1,860.22 1,885.27 1,876.22 1,675.84 1,627.18 1,560.20 1,544.56 1,485.39 1,556.51 1,541.53 1,575.98 1,620.08 1,615.96 1,623.32 1,658.48 1,756.17 1,796.76 1,784.40 2,332.69 2,354.09 2,303.17 2,293.38 2,223.82 2,125.14 1,846.86 1,773.02 1,795.69 1,866.53 1,850.67 1,778.05 1,905.67 2,007.75 1,957.03 2,010.74 1,971.06 2,015.19 2,047.36 2,180.91 2,346.29 2,428.99 2,502.64 2,639.06 2,713.28 2,850.32 2,973.62 2,947.33 2,923.28 2,713.86 2,741.31 2,703.84 2,711.29 1,092.07 1,071.33 1,038.31 1,116.42 1,099.80 1,089.65
Total liabilities 2,870.62 2,857.83 2,985.04 3,022.87 2,614.75 2,500.67 2,525.51 1,816.15 1,780.86 1,784.93 1,811.02 1,824.49 1,766.86 1,738.06 1,735.79 1,727.41 1,727.70 1,698.53 1,714.18 1,781.84 1,799.41 1,844.17 1,915.98 1,977.52 2,017.37 2,024.01 2,043.79 1,828.42 1,791.97 1,710.94 1,703.59 1,653.51 1,699.33 1,672.39 1,712.38 1,738.67 1,741.45 1,729.85 1,771.88 1,855.85 1,919.92 1,919.50 2,797.87 2,850.05 2,874.96 2,904.10 2,857.03 2,715.05 2,437.89 2,413.73 2,528.81 2,617.46 2,633.10 2,552.59 2,621.74 2,714.13 2,611.33 2,680.62 2,695.33 2,688.90 2,765.27 2,939.11 3,083.89 3,139.08 3,283.79 3,476.09 3,604.45 3,733.62 3,982.15 3,864.55 3,813.74 3,540.55 3,655.86 3,509.96 3,466.59 1,372.80 1,376.87 1,303.52 1,355.47 1,311.39 1,276.58
Total stockholders' equity + 1,518.00 1,491.48 1,422.28 1,408.44 1,349.98 1,323.53 1,290.74 894.50 882.08 871.02 861.09 855.53 853.05 860.69 869.82 873.92 872.32 891.44 904.05 913.82 923.12 935.56 949.69 950.87 999.47 1,085.96 1,057.02 832.89 842.29 841.57 827.80 830.73 782.28 777.05 735.33 733.09 721.28 718.97 745.49 739.37 724.71 733.91 1,816.74 1,826.53 1,809.73 1,797.26 1,793.78 1,770.23 1,702.79 1,662.09 1,631.51 1,578.98 1,561.25 1,478.61 1,476.31 1,351.21 1,500.01 1,437.24 1,490.40 1,712.86 1,679.86 1,609.45 1,713.58 1,665.38 1,654.72 1,640.00 1,606.44 1,570.26 1,980.70 2,043.79 3,239.24 3,239.73 3,186.34 3,162.26 3,151.36 986.08 935.86 916.43 927.66 904.31 861.28
Common shares outstanding 174 174 175 175 174 174 166 155 155 154 154 154 154 154 154 153 153 152 152 152 152 151 151 151 151 150 143 128 128 128 128 111 70 70 70 70 69 69 69 69 69 68 69 69 68 68 70 66 68 66 66 65 65 64 65 63 65 63 63 63 62 62 62 62 63 63 78 61 61 61 65 66 69 69 49 31 31 31 34 31 31
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