Balance Sheet - AVNET INC (AVT)
$(Billion, Million)| Jun-25 | Jun-24 | Jun-23 | Jun-22 | Jun-21 | Jun-20 | Jun-19 | Jun-18 | Jun-17 | Jun-16 | Jun-15 | Jun-14 | Jun-13 | Jun-12 | Jun-11 | Jun-10 | Jun-09 | Jun-08 | Jun-07 | Jun-06 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Total cash and short-term investments | 192.43 | 310.94 | 288.23 | 153.69 | 199.69 | 477.04 | 546.11 | 621.13 | 1,117.71 | 1,031.48 | 932.55 | 928.97 | 1,009.34 | 1,006.86 | 675.33 | 1,092.10 | 943.92 | 640.45 | 557.35 | 276.71 |
| Accounts receivable, net | 4,327.45 | 4,391.19 | 4,763.79 | 4,301.00 | 3,576.13 | 2,928.39 | 3,168.37 | 3,641.14 | 3,337.62 | 2,769.91 | 5,054.31 | 5,220.53 | 4,868.97 | 4,607.32 | 4,764.29 | 3,574.54 | 2,618.70 | 3,367.44 | 3,103.02 | 2,477.04 |
| Inventories | 5,235.49 | 5,468.73 | 5,465.03 | 4,244.15 | 3,236.84 | 2,731.99 | 3,008.42 | 3,141.82 | 2,824.71 | 2,856.23 | 2,482.18 | 2,613.36 | 2,264.34 | 2,388.64 | 2,596.47 | 1,812.77 | 1,411.76 | 1,894.49 | 1,736.30 | 1,616.58 |
| Other current assets | 263.37 | 199.69 | 233.80 | 177.78 | 150.76 | 191.39 | 153.44 | 206.51 | 507.53 | 2,642.67 | 173.03 | 382.67 | 428.44 | 251.61 | 191.11 | 150.76 | 169.88 | 68.76 | 92.18 | 97.13 |
| Total current assets | 10,018.74 | 10,370.55 | 10,750.85 | 8,876.63 | 7,163.42 | 6,328.81 | 6,876.34 | 7,610.60 | 7,533.81 | 9,003.97 | 8,642.07 | 8,954.20 | 8,356.88 | 8,254.44 | 8,227.21 | 6,630.17 | 5,144.25 | 5,971.15 | 5,488.85 | 4,467.46 |
| Total non-current assets | 2,099.82 | 1,838.60 | 1,726.31 | 1,511.91 | 1,762.00 | 1,842.71 | 1,688.22 | 1,986.25 | 2,165.78 | 2,235.83 | 2,157.88 | 2,301.32 | 2,117.80 | 1,913.43 | 1,678.36 | 1,152.21 | 1,129.26 | 2,228.98 | 1,866.27 | 1,748.23 |
| Total assets | 12,118.55 | 12,209.15 | 12,477.16 | 10,388.53 | 8,925.42 | 8,171.51 | 8,564.56 | 9,596.85 | 9,699.59 | 11,239.81 | 10,799.95 | 11,255.52 | 10,474.68 | 10,167.87 | 9,905.57 | 7,782.38 | 6,273.52 | 8,200.13 | 7,355.12 | 6,215.69 |
| Total current liabilities | 4,128.10 | 4,465.27 | 4,249.38 | 4,251.65 | 3,055.24 | 2,280.37 | 2,578.58 | 2,969.46 | 2,453.77 | 4,942.49 | 4,272.30 | 4,978.83 | 4,821.44 | 4,798.65 | 4,477.73 | 3,439.62 | 2,455.86 | 2,779.59 | 2,776.99 | 2,438.32 |
| Total non-current liabilities | 2,978.95 | 2,818.37 | 3,476.11 | 1,944.12 | 1,786.00 | 2,164.75 | 1,845.51 | 1,942.30 | 2,063.75 | 1,606.03 | 1,842.64 | 1,386.50 | 1,364.11 | 1,463.48 | 1,371.77 | 1,333.65 | 1,056.80 | 1,285.85 | 1,177.49 | 946.19 |
| Total liabilities | 7,107.06 | 7,283.64 | 7,725.49 | 6,195.77 | 4,841.24 | 4,445.12 | 4,424.08 | 4,911.76 | 4,517.52 | 6,548.52 | 6,114.93 | 6,365.32 | 6,185.56 | 6,262.13 | 5,849.50 | 4,773.27 | 3,512.66 | 4,065.44 | 3,954.47 | 3,384.51 |
| Total stockholders' equity | 5,011.50 | 4,925.50 | 4,751.67 | 4,192.76 | 4,084.18 | 3,726.40 | 4,140.47 | 4,685.08 | 5,182.07 | 4,691.29 | 4,685.02 | 4,890.19 | 4,289.13 | 3,905.73 | 4,056.07 | 3,009.12 | 2,760.86 | 4,134.69 | 3,400.65 | 2,831.18 |
| Common shares outstanding | 87 | 92 | 93 | 100 | 100 | 100 | 111 | 120 | 129 | 133 | 139 | 140 | 140 | 150 | 154 | 153 | 151 | 152 | 150 | 147 |
Show Quarterly Balance Sheet
Balance Sheet - AVNET INC (AVT)
$(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 | 202.44 | 286.55 | 175.47 | 192.43 | 188.91 | 172.14 | 267.52 | 310.94 | 218.47 | 272.85 | 278.68 | 288.23 | 185.94 | 324.78 | 80.88 | 153.69 | 199.46 | 167.82 | 299.10 | 199.69 | 322.75 | 376.33 | 483.06 | 477.04 | 402.66 | 488.81 | 664.11 | 546.11 | 725.25 | 482.17 | 365.85 | 621.13 | 505.12 | 725.96 | 737.63 | 1,117.71 | 1,390.78 | 1,270.14 | 1,196.55 | 1,031.48 | 1,036.49 | 916.09 | 824.70 | 932.55 | 803.47 | 903.33 | 814.37 | 928.97 | 960.15 | 779.33 | 865.61 | 1,009.34 | 820.92 | 815.28 | 1,043.03 | 1,006.86 | 940.10 | 968.52 | 622.43 | 675.33 | 781.75 | 756.93 | 661.71 | 1,092.10 | 754.57 | 894.87 | 987.30 | 943.92 | 685.74 | 670.85 | 386.93 | 640.45 | 381.46 | 417.13 | 520.89 | 557.35 | 337.14 | 389.82 | 481.78 | 276.71 | 199.85 |
| Accounts receivable, net | 5,502.26 | 5,242.80 | 4,503.48 | 4,327.45 | 4,095.48 | 4,421.43 | 4,575.85 | 4,391.19 | 4,315.06 | 4,508.74 | 4,679.69 | 4,763.79 | 4,670.64 | 4,789.40 | 4,591.02 | 4,301.00 | 4,164.57 | 4,077.71 | 3,720.30 | 3,576.13 | 3,365.68 | 3,105.32 | 2,964.53 | 2,928.39 | 2,987.79 | 2,977.77 | 3,129.39 | 3,168.37 | 3,188.86 | 3,445.81 | 3,682.51 | 3,641.14 | 3,552.53 | 3,295.01 | 3,417.43 | 3,337.62 | 3,237.44 | 2,996.11 | 2,876.35 | 2,769.91 | 4,874.18 | 5,395.01 | 4,903.25 | 5,054.31 | 4,994.75 | 5,696.64 | 5,060.52 | 5,220.53 | 4,983.89 | 5,708.35 | 4,820.07 | 4,868.97 | 4,778.07 | 5,161.45 | 4,477.93 | 4,607.32 | 4,658.81 | 4,755.63 | 4,593.52 | 4,764.29 | 4,706.56 | 4,816.09 | 4,415.71 | 3,574.54 | 3,323.95 | 3,439.46 | 2,864.45 | 2,618.70 | 2,660.41 | 3,200.99 | 3,284.39 | 3,367.44 | 3,277.80 | 3,615.23 | 3,065.79 | 3,103.02 | 2,918.41 | 2,716.67 | 2,557.41 | 2,477.04 | 2,448.66 |
| Inventories | 5,462.39 | 5,294.51 | 5,420.87 | 5,235.49 | 5,270.45 | 5,252.47 | 5,614.10 | 5,468.73 | 5,751.87 | 6,116.00 | 5,755.05 | 5,465.03 | 5,354.01 | 4,972.90 | 4,654.99 | 4,244.15 | 3,680.82 | 3,542.72 | 3,283.83 | 3,236.84 | 2,760.16 | 2,816.42 | 2,944.67 | 2,731.99 | 2,745.22 | 2,908.58 | 3,025.98 | 3,008.42 | 3,211.98 | 3,306.30 | 3,395.19 | 3,141.82 | 3,261.90 | 3,285.93 | 3,129.03 | 2,824.71 | 2,771.24 | 2,697.80 | 2,418.76 | 2,856.23 | 2,826.86 | 2,650.22 | 2,805.01 | 2,482.18 | 2,474.40 | 2,493.58 | 2,705.40 | 2,613.36 | 2,510.35 | 2,549.32 | 2,510.78 | 2,264.34 | 2,284.72 | 2,223.84 | 2,360.50 | 2,388.64 | 2,490.29 | 2,513.92 | 2,643.84 | 2,596.47 | 2,514.16 | 2,549.59 | 2,495.50 | 1,812.77 | 1,747.72 | 1,698.35 | 1,567.74 | 1,411.76 | 1,613.89 | 1,753.26 | 1,908.87 | 1,894.49 | 1,973.45 | 1,833.06 | 1,824.06 | 1,736.30 | 1,712.83 | 1,623.56 | 1,652.66 | 1,616.58 | 1,553.90 |
| Other current assets | 217.68 | 200.39 | 227.17 | 263.37 | 240.51 | 226.33 | 221.77 | 199.69 | 200.43 | 241.37 | 197.72 | 233.80 | 232.96 | 216.49 | 183.02 | 177.78 | 172.79 | 155.96 | 161.85 | 150.76 | 156.02 | 156.38 | 209.93 | 191.39 | 180.96 | 161.34 | 169.47 | 153.44 | 129.32 | 312.90 | 114.43 | 206.51 | 610.13 | 269.20 | 261.60 | 507.53 | 273.53 | 4,113.05 | 3,208.10 | 2,642.67 | 200.58 | 181.07 | 181.57 | 173.03 | 211.34 | 196.11 | 181.77 | 191.34 | 199.05 | 198.74 | 222.38 | 214.22 | 220.63 | 249.22 | 237.34 | -2,386,001.75 | 216.06 | 217.10 | 207.07 | -2,593,682.42 | 213.27 | 245.30 | 268.03 | -1,810,802.48 | 168.45 | 135.52 | 161.92 | 169.88 | 122.91 | 80.06 | 76.26 | 68.76 | 77.22 | 78.03 | 71.77 | 92.18 | 108.10 | 113.83 | 129.39 | 97.13 | 58.87 |
| Total current assets | 11,384.77 | 11,024.25 | 10,326.98 | 10,018.74 | 9,795.36 | 10,072.36 | 10,679.24 | 10,370.55 | 10,485.84 | 11,138.96 | 10,911.14 | 10,750.85 | 10,443.54 | 10,303.57 | 9,509.91 | 8,876.63 | 8,217.64 | 7,944.21 | 7,465.07 | 7,163.42 | 6,604.61 | 6,454.45 | 6,602.19 | 6,328.81 | 6,316.62 | 6,536.50 | 6,988.95 | 6,876.34 | 7,255.41 | 7,390.72 | 7,557.99 | 7,610.60 | 7,624.61 | 7,576.11 | 7,545.69 | 7,533.81 | 7,672.99 | 11,077.10 | 9,699.75 | 9,003.97 | 8,938.10 | 9,142.39 | 8,714.52 | 8,642.07 | 8,483.96 | 9,289.66 | 8,762.06 | 8,954.20 | 8,653.45 | 9,235.74 | 8,418.84 | 8,356.88 | 8,104.34 | 8,449.78 | 8,118.80 | 8,254.44 | 8,305.25 | 8,455.17 | 8,066.86 | 8,227.21 | 8,215.74 | 8,367.91 | 7,840.94 | 6,630.17 | 5,994.70 | 6,168.20 | 5,581.41 | 5,144.25 | 5,082.94 | 5,705.16 | 5,656.44 | 5,971.15 | 5,709.94 | 5,943.45 | 5,482.51 | 5,488.85 | 5,076.48 | 4,843.88 | 4,821.24 | 4,467.46 | 4,261.28 |
| Total non-current assets | 2,104.53 | 2,128.93 | 2,087.37 | 2,099.82 | 1,916.98 | 1,870.58 | 1,918.32 | 1,838.60 | 1,839.40 | 1,858.21 | 1,735.32 | 1,726.31 | 1,665.77 | 1,626.31 | 1,458.50 | 1,511.91 | 1,564.03 | 1,636.66 | 1,746.24 | 1,762.00 | 1,761.31 | 1,809.87 | 1,779.21 | 1,842.71 | 1,773.11 | 1,988.61 | 1,924.39 | 1,688.22 | 1,844.27 | 1,843.98 | 1,895.78 | 1,986.25 | 2,087.32 | 2,224.40 | 2,227.47 | 2,165.78 | 2,172.79 | 2,178.90 | 1,346.37 | 2,235.83 | 2,187.36 | 2,159.97 | 2,149.93 | 2,157.88 | 2,130.55 | 2,201.43 | 2,225.19 | 2,301.32 | 2,247.34 | 2,249.56 | 2,139.42 | 2,117.80 | 2,107.15 | 2,099.75 | 1,984.32 | 1,913.43 | 1,852.31 | 1,717.63 | 1,715.70 | 1,678.36 | 1,624.24 | 1,535.68 | 1,461.80 | 1,152.21 | 1,163.09 | 1,147.05 | 1,126.25 | 1,129.26 | 1,162.99 | 1,031.79 | 2,405.13 | 2,228.98 | 2,194.45 | 2,084.51 | 1,885.17 | 1,866.27 | 1,907.61 | 1,714.93 | 1,701.25 | 1,748.23 | 1,787.49 |
| Total assets | 13,489.29 | 13,153.18 | 12,414.36 | 12,118.55 | 11,712.33 | 11,942.93 | 12,597.56 | 12,209.15 | 12,325.24 | 12,997.17 | 12,646.46 | 12,477.16 | 12,109.31 | 11,929.87 | 10,968.41 | 10,388.53 | 9,781.67 | 9,580.87 | 9,211.31 | 8,925.42 | 8,365.92 | 8,264.31 | 8,381.40 | 8,171.51 | 8,089.73 | 8,525.11 | 8,913.34 | 8,564.56 | 9,099.68 | 9,234.70 | 9,453.77 | 9,596.85 | 9,711.93 | 9,800.51 | 9,773.16 | 9,699.59 | 9,845.78 | 13,256.00 | 11,046.12 | 11,239.81 | 11,125.46 | 11,302.35 | 10,864.46 | 10,799.95 | 10,614.51 | 11,491.09 | 10,987.25 | 11,255.52 | 10,900.78 | 11,485.30 | 10,558.26 | 10,474.68 | 10,211.50 | 10,549.53 | 10,103.12 | 10,167.87 | 10,157.56 | 10,172.80 | 9,782.55 | 9,905.57 | 9,839.98 | 9,903.59 | 9,302.74 | 7,782.38 | 7,157.79 | 7,315.25 | 6,707.66 | 6,273.52 | 6,245.94 | 6,736.95 | 8,061.57 | 8,200.13 | 7,904.38 | 8,027.95 | 7,367.67 | 7,355.12 | 6,984.10 | 6,558.81 | 6,522.49 | 6,215.69 | 6,048.77 |
| Total current liabilities | 5,663.44 | 5,333.96 | 4,373.92 | 4,128.10 | 4,014.38 | 4,206.06 | 4,747.88 | 4,465.27 | 4,492.67 | 4,765.56 | 4,290.38 | 4,249.38 | 3,969.75 | 4,057.66 | 4,659.19 | 4,251.65 | 4,065.79 | 3,688.51 | 3,113.34 | 3,055.24 | 2,885.94 | 2,826.32 | 2,766.41 | 2,280.37 | 2,607.79 | 2,745.25 | 3,137.30 | 2,578.58 | 2,333.26 | 2,472.77 | 2,864.83 | 2,969.46 | 2,769.45 | 2,755.64 | 2,711.70 | 2,453.77 | 2,644.64 | 4,809.79 | 3,433.87 | 4,942.49 | 4,564.42 | 5,363.30 | 4,960.26 | 4,272.30 | 4,240.97 | 4,932.06 | 4,403.21 | 4,978.83 | 4,764.55 | 5,450.47 | 4,719.60 | 4,821.44 | 4,440.59 | 4,770.00 | 4,545.40 | 4,798.65 | 4,825.73 | 5,022.92 | 4,592.95 | 4,477.73 | 4,725.02 | 5,093.98 | 4,600.63 | 3,439.62 | 3,110.37 | 3,318.64 | 2,789.92 | 2,455.86 | 2,421.44 | 2,647.41 | 2,692.78 | 2,779.59 | 2,594.57 | 2,954.56 | 2,528.68 | 2,776.99 | 2,505.45 | 2,616.37 | 2,733.02 | 2,438.32 | 2,262.12 |
| Total non-current liabilities | 2,872.52 | 2,881.28 | 3,192.34 | 2,978.95 | 2,812.98 | 2,892.97 | 2,811.95 | 2,818.37 | 2,843.47 | 3,221.23 | 3,533.50 | 3,476.11 | 3,503.96 | 3,442.56 | 2,289.88 | 1,944.12 | 1,459.17 | 1,689.14 | 1,952.37 | 1,786.00 | 1,542.09 | 1,527.26 | 1,837.48 | 2,164.75 | 1,804.66 | 1,822.53 | 1,817.97 | 1,845.51 | 2,403.94 | 2,353.20 | 1,967.87 | 1,942.30 | 1,987.66 | 1,796.33 | 1,817.35 | 2,063.75 | 2,101.56 | 3,734.34 | 2,823.23 | 1,606.03 | 1,800.84 | 1,265.05 | 1,272.93 | 1,842.64 | 1,872.02 | 1,854.11 | 1,789.88 | 1,386.50 | 1,400.36 | 1,406.41 | 1,343.19 | 1,364.11 | 1,687.21 | 1,673.64 | 1,577.94 | 1,463.48 | 1,280.05 | 1,294.80 | 1,258.59 | 1,371.77 | 1,380.49 | 1,367.41 | 1,371.91 | 1,333.65 | 1,026.42 | 1,015.95 | 1,029.10 | 1,056.80 | 1,077.41 | 1,293.35 | 1,283.73 | 1,285.85 | 1,327.49 | 1,305.55 | 1,263.83 | 1,177.49 | 1,248.79 | 883.45 | 880.41 | 946.19 | 1,082.34 |
| Total liabilities | 8,535.96 | 8,215.24 | 7,566.26 | 7,107.06 | 6,827.36 | 7,099.03 | 7,559.83 | 7,283.64 | 7,336.14 | 7,986.79 | 7,823.88 | 7,725.49 | 7,473.71 | 7,500.21 | 6,949.07 | 6,195.77 | 5,524.95 | 5,377.64 | 5,065.71 | 4,841.24 | 4,428.03 | 4,353.58 | 4,603.88 | 4,445.12 | 4,412.45 | 4,567.78 | 4,955.27 | 4,424.08 | 4,737.21 | 4,825.96 | 4,832.70 | 4,911.76 | 4,757.11 | 4,551.96 | 4,529.06 | 4,517.52 | 4,746.21 | 8,544.13 | 6,257.10 | 6,548.52 | 6,365.26 | 6,628.35 | 6,233.19 | 6,114.93 | 6,113.00 | 6,786.16 | 6,193.09 | 6,365.32 | 6,164.91 | 6,856.88 | 6,062.79 | 6,185.56 | 6,127.80 | 6,443.63 | 6,123.34 | 6,262.13 | 6,105.78 | 6,317.72 | 5,851.54 | 5,849.50 | 6,105.50 | 6,461.39 | 5,972.54 | 4,773.27 | 4,136.79 | 4,334.59 | 3,819.02 | 3,512.66 | 3,498.85 | 3,940.76 | 3,976.51 | 4,065.44 | 3,922.06 | 4,260.11 | 3,792.51 | 3,954.47 | 3,754.24 | 3,499.81 | 3,613.43 | 3,384.51 | 3,344.46 |
| Total stockholders' equity | 4,953.34 | 4,937.93 | 4,848.10 | 5,011.50 | 4,884.97 | 4,843.90 | 5,037.74 | 4,925.50 | 4,989.10 | 5,010.38 | 4,822.58 | 4,751.67 | 4,635.60 | 4,429.66 | 4,019.34 | 4,192.76 | 4,256.72 | 4,203.23 | 4,145.60 | 4,084.18 | 3,937.89 | 3,910.73 | 3,777.51 | 3,726.40 | 3,677.28 | 3,957.33 | 3,958.07 | 4,140.47 | 4,362.47 | 4,408.74 | 4,621.07 | 4,685.08 | 4,954.82 | 5,248.54 | 5,244.10 | 5,182.07 | 5,099.57 | 4,711.86 | 4,789.03 | 4,691.29 | 4,760.20 | 4,674.00 | 4,631.27 | 4,685.02 | 4,501.51 | 4,704.93 | 4,794.16 | 4,890.19 | 4,735.87 | 4,628.42 | 4,495.47 | 4,289.13 | 4,083.70 | 4,105.90 | 3,979.78 | 3,905.73 | 4,051.78 | 3,855.08 | 3,931.02 | 4,056.07 | 3,734.47 | 3,442.20 | 3,330.20 | 3,009.12 | 3,021.01 | 2,980.66 | 2,888.64 | 2,760.86 | 2,747.09 | 2,796.19 | 4,085.06 | 4,134.69 | 3,982.32 | 3,767.84 | 3,575.17 | 3,400.65 | 3,229.86 | 3,059.00 | 2,909.06 | 2,831.18 | 2,704.31 |
| Common shares outstanding | 83 | 83 | 84 | 85 | 87 | 88 | 89 | 91 | 91 | 92 | 93 | 93 | 92 | 93 | 96 | 98 | 99 | 100 | 101 | 101 | 100 | 100 | 99 | 99 | 99 | 101 | 104 | 106 | 109 | 111 | 116 | 118 | 120 | 122 | 124 | 125 | 129 | 130 | 130 | 130 | 132 | 135 | 136 | 138 | 138 | 139 | 141 | 140 | 140 | 140 | 140 | 139 | 139 | 139 | 143 | 147 | 147 | 150 | 155 | 155 | 155 | 154 | 154 | 154 | 153 | 153 | 153 | 153 | 151 | 151 | 152 | 152 | 152 | 153 | 153 | 153 | 150 | 148 | 147 | 147 | 147 |