Balance Sheet - LA-Z-BOY INC (LZB)
$(Billion, Million)| Apr-25 | Apr-24 | Apr-23 | Apr-22 | Apr-21 | Apr-20 | Apr-19 | Apr-18 | Apr-17 | Apr-16 | Apr-15 | Apr-14 | Apr-13 | Apr-12 | Apr-11 | Apr-10 | Apr-09 | Apr-08 | Apr-07 | Apr-06 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Total cash and short-term investments | 331.07 | 347.91 | 349.77 | 266.22 | 415.27 | 283.52 | 151.18 | 150.78 | 158.77 | 127.68 | 115.07 | 165.56 | 141.89 | 155.23 | 115.26 | 108.42 | 36.08 | 14.98 | 51.72 | 24.09 |
| Accounts receivable, net | 139.53 | 174.73 | 170.48 | 322.75 | 139.34 | 99.35 | 143.29 | 154.06 | 150.85 | 146.55 | 158.55 | 152.61 | 160.01 | 167.23 | 161.30 | 165.04 | 147.86 | 200.42 | 230.40 | 270.58 |
| Inventories | 255.29 | 263.24 | 276.26 | 303.19 | 226.14 | 181.64 | 196.90 | 184.84 | 175.11 | 175.59 | 156.79 | 147.01 | 146.34 | 143.79 | 138.44 | 134.19 | 140.18 | 178.36 | 197.79 | 238.83 |
| Other current assets | 79.80 | 50.93 | 58.10 | 59.62 | 145.41 | 83.78 | 49.76 | 28.54 | 49.60 | 47.48 | 62.81 | 73.39 | 51.55 | 36.61 | 17.22 | 20.46 | 42.38 | 33.72 | 60.89 | 51.07 |
| Total current assets | 805.69 | 836.81 | 854.60 | 951.78 | 926.16 | 626.33 | 541.12 | 518.22 | 517.42 | 481.97 | 476.45 | 522.67 | 500.88 | 500.00 | 432.22 | 428.11 | 347.78 | 427.49 | 540.80 | 584.56 |
| Total non-current assets | 1,116.47 | 1,076.63 | 1,011.66 | 1,116.72 | 974.19 | 808.56 | 518.67 | 374.75 | 371.43 | 318.06 | 298.15 | 248.62 | 219.49 | 185.74 | 161.23 | 180.71 | 204.77 | 341.38 | 337.89 | 386.62 |
| Total assets | 1,922.16 | 1,913.44 | 1,866.26 | 2,068.50 | 1,900.35 | 1,434.89 | 1,059.79 | 892.97 | 888.86 | 800.03 | 774.60 | 771.30 | 720.37 | 685.74 | 593.46 | 608.82 | 552.55 | 768.87 | 878.69 | 971.17 |
| Total current liabilities | 420.79 | 437.28 | 475.86 | 675.69 | 611.67 | 350.17 | 238.64 | 181.35 | 198.68 | 157.43 | 154.89 | 167.38 | 150.16 | 149.76 | 132.10 | 147.28 | 126.03 | 163.91 | 228.21 | 228.41 |
| Total non-current liabilities | 469.40 | 462.80 | 438.31 | 573.18 | 506.53 | 368.41 | 124.18 | 86.40 | 89.07 | 85.39 | 86.61 | 74.20 | 78.24 | 88.17 | 97.21 | 115.30 | 120.78 | 154.36 | 165.13 | 232.42 |
| Total liabilities | 890.19 | 900.08 | 914.17 | 1,248.87 | 1,118.20 | 718.58 | 362.81 | 267.75 | 287.75 | 242.82 | 241.50 | 241.58 | 228.40 | 237.92 | 229.32 | 262.58 | 246.81 | 318.27 | 393.34 | 460.83 |
| Total stockholders' equity | 1,020.62 | 1,003.06 | 941.84 | 810.73 | 773.50 | 700.75 | 682.51 | 612.18 | 589.92 | 547.14 | 524.15 | 521.89 | 484.83 | 441.90 | 361.32 | 342.10 | 305.73 | 450.60 | 485.35 | 510.35 |
| Common shares outstanding | 42 | 43 | 43 | 44 | 46 | 47 | 47 | 48 | 49 | 51 | 52 | 54 | 54 | 52 | 52 | 52 | 51 | 51 | 52 | 52 |
Show Quarterly Balance Sheet
Balance Sheet - LA-Z-BOY INC (LZB)
$(Billion, Million)| Jan-26 | Oct-25 | Jul-25 | Apr-25 | Jan-25 | Oct-24 | Jul-24 | Apr-24 | Jan-24 | Oct-23 | Jul-23 | Apr-23 | Jan-23 | Oct-22 | Jul-22 | Apr-22 | Jan-22 | Oct-21 | Jul-21 | Apr-21 | Jan-21 | Oct-20 | Jul-20 | Apr-20 | Jan-20 | Oct-19 | Jul-19 | Apr-19 | Jan-19 | Oct-18 | Jul-18 | Apr-18 | Jan-18 | Oct-17 | Jul-17 | Apr-17 | Jan-17 | Oct-16 | Jul-16 | Apr-16 | Jan-16 | Oct-15 | Jul-15 | Apr-15 | Jan-15 | Oct-14 | Jul-14 | Apr-14 | Jan-14 | Oct-13 | Jul-13 | Apr-13 | Jan-13 | Oct-12 | Jul-12 | Apr-12 | Jan-12 | Oct-11 | Jul-11 | Apr-11 | Jan-11 | Oct-10 | Jul-10 | Apr-10 | Jan-10 | Oct-09 | Jul-09 | Apr-09 | Jan-09 | Oct-08 | Jul-08 | Apr-08 | Jan-08 | Oct-07 | Jul-07 | Apr-07 | Jan-07 | Oct-06 | Jul-06 | Apr-06 | Jan-06 | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Total cash and short-term investments | 308.90 | 341.16 | 321.27 | 331.07 | 317.19 | 305.48 | 346.78 | 347.91 | 341.02 | 341.25 | 349.00 | 349.77 | 293.08 | 219.85 | 257.49 | 266.22 | 256.20 | 314.49 | 356.24 | 415.27 | 413.26 | 371.86 | 348.50 | 283.52 | 190.68 | 140.84 | 141.08 | 151.18 | 119.54 | 110.14 | 149.73 | 150.78 | 151.36 | 137.48 | 136.35 | 158.77 | 126.00 | 121.44 | 131.79 | 127.68 | 110.10 | 84.97 | 99.22 | 115.07 | 117.31 | 135.63 | 133.01 | 165.56 | 150.61 | 145.85 | 145.10 | 141.89 | 118.38 | 95.21 | 125.96 | 155.23 | 148.07 | 117.53 | 110.43 | 115.26 | 109.63 | 83.66 | 93.13 | 108.42 | 79.51 | 59.54 | 38.83 | 36.08 | 18.69 | 14.49 | 11.11 | 14.98 | 63.18 | 32.69 | 23.79 | 51.72 | 17.48 | 20.53 | 28.39 | 24.09 | 20.51 |
| Accounts receivable, net | 123.80 | 138.31 | 166.33 | 139.53 | 169.47 | 163.19 | 157.25 | 174.73 | 162.64 | 169.60 | 152.46 | 125.54 | 137.59 | 232.62 | 264.38 | 322.75 | 163.02 | 174.00 | 141.60 | 139.34 | 223.16 | 128.32 | 97.37 | 99.35 | 153.72 | 155.09 | 134.38 | 143.29 | 149.53 | 150.51 | 138.98 | 154.06 | 146.50 | 145.17 | 134.90 | 150.85 | 143.21 | 144.58 | 128.96 | 146.55 | 142.80 | 152.86 | 135.70 | 158.55 | 149.09 | 156.40 | 139.76 | 152.61 | 151.92 | 159.51 | 139.19 | 160.01 | 163.22 | 154.03 | 147.28 | 167.23 | 158.44 | 161.90 | 147.86 | 161.30 | 154.28 | 168.97 | 150.30 | 165.00 | 158.66 | 162.88 | 137.55 | 147.86 | 153.40 | 196.80 | 180.31 | 200.42 | 214.09 | 215.28 | 207.14 | 230.40 | 217.10 | 253.52 | 230.39 | 270.58 | 274.00 |
| Inventories | 235.05 | 225.57 | 252.12 | 255.29 | 288.72 | 289.21 | 271.79 | 263.24 | 276.83 | 268.48 | 269.43 | 276.26 | 303.55 | 342.73 | 331.85 | 303.19 | 315.60 | 285.77 | 264.45 | 226.14 | 212.11 | 188.65 | 180.40 | 181.64 | 198.57 | 205.12 | 197.70 | 196.90 | 219.21 | 214.95 | 195.02 | 184.84 | 186.32 | 180.05 | 178.51 | 175.11 | 193.70 | 186.71 | 176.19 | 175.59 | 183.25 | 181.63 | 178.95 | 156.79 | 160.13 | 158.33 | 161.32 | 147.01 | 159.59 | 158.58 | 158.03 | 146.34 | 159.06 | 169.00 | 167.06 | 143.79 | 134.17 | 143.54 | 149.13 | 138.44 | 142.05 | 140.70 | 138.95 | 134.19 | 145.05 | 138.95 | 142.28 | 140.18 | 172.26 | 167.11 | 167.46 | 178.36 | 183.94 | 190.99 | 202.76 | 197.79 | 214.15 | 237.89 | 238.76 | 238.83 | 246.55 |
| Other current assets | 143.73 | 120.88 | 53.52 | 79.80 | 65.53 | 61.29 | 58.56 | 50.93 | 69.90 | 61.68 | 58.59 | 103.04 | 114.77 | 62.12 | 66.11 | 59.62 | 227.49 | 190.91 | 174.96 | 145.41 | 39.67 | 107.56 | 77.68 | 83.78 | 60.33 | 60.54 | 58.15 | 49.76 | 59.13 | 61.82 | 42.19 | 28.54 | 29.50 | 33.42 | 39.12 | 32.70 | 35.19 | 32.94 | 33.38 | 32.16 | 44.81 | 54.46 | 52.47 | 46.05 | 47.64 | 44.58 | 48.70 | 57.49 | 56.36 | 62.66 | 60.23 | 76.13 | 60.30 | 60.46 | 53.03 | 36.61 | 36.84 | 39.79 | 38.92 | 17.22 | 21.76 | 23.11 | 19.71 | 22.21 | 17.23 | 17.25 | 29.37 | 42.38 | 28.86 | 30.12 | 38.21 | 33.72 | 40.28 | 45.04 | 59.20 | 60.89 | 95.57 | 61.42 | 56.85 | 51.07 | 54.18 |
| Total current assets | 808.70 | 823.26 | 793.24 | 805.69 | 840.91 | 819.16 | 834.38 | 836.81 | 850.39 | 841.02 | 829.48 | 854.60 | 848.99 | 857.31 | 919.83 | 951.78 | 962.30 | 965.17 | 937.26 | 926.16 | 888.20 | 796.40 | 703.95 | 626.33 | 603.30 | 561.59 | 531.30 | 541.12 | 547.41 | 537.42 | 525.91 | 518.22 | 513.68 | 496.12 | 488.89 | 517.42 | 498.11 | 485.66 | 470.37 | 481.97 | 480.95 | 473.91 | 466.34 | 476.45 | 475.07 | 495.43 | 483.79 | 522.67 | 520.08 | 517.00 | 496.95 | 500.88 | 494.56 | 470.09 | 479.93 | 500.00 | 477.53 | 462.76 | 446.33 | 432.22 | 427.72 | 416.45 | 402.10 | 428.11 | 400.44 | 378.11 | 347.53 | 347.78 | 373.20 | 408.52 | 397.09 | 427.49 | 501.48 | 484.00 | 492.89 | 540.80 | 544.31 | 573.35 | 554.39 | 584.56 | 595.24 |
| Total non-current assets | 1,278.27 | 1,135.50 | 1,132.72 | 1,116.47 | 1,117.97 | 1,109.03 | 1,083.24 | 1,076.63 | 1,067.90 | 1,039.01 | 1,018.11 | 1,011.66 | 997.36 | 1,000.23 | 999.16 | 1,116.72 | 967.26 | 886.93 | 872.25 | 974.19 | 851.98 | 853.94 | 799.80 | 808.56 | 839.34 | 830.74 | 830.85 | 518.67 | 514.05 | 514.72 | 380.67 | 374.75 | 379.82 | 385.43 | 379.64 | 371.43 | 366.49 | 337.39 | 327.70 | 318.06 | 306.25 | 312.11 | 295.26 | 298.15 | 291.74 | 275.30 | 271.34 | 248.62 | 244.13 | 232.50 | 217.06 | 219.49 | 217.65 | 215.13 | 186.89 | 185.74 | 184.06 | 181.27 | 181.69 | 161.23 | 168.23 | 170.08 | 171.95 | 180.71 | 186.62 | 193.99 | 198.05 | 204.77 | 232.74 | 294.44 | 335.84 | 341.38 | 337.30 | 341.92 | 342.50 | 337.89 | 344.60 | 366.60 | 369.27 | 386.62 | 395.40 |
| Total assets | 2,086.96 | 1,958.76 | 1,925.95 | 1,922.16 | 1,958.88 | 1,928.20 | 1,917.62 | 1,913.44 | 1,918.29 | 1,880.03 | 1,847.59 | 1,866.26 | 1,846.36 | 1,857.54 | 1,918.99 | 2,068.50 | 1,929.56 | 1,852.09 | 1,809.51 | 1,900.35 | 1,740.17 | 1,650.34 | 1,503.75 | 1,434.89 | 1,442.63 | 1,392.33 | 1,362.15 | 1,059.79 | 1,061.46 | 1,052.14 | 906.58 | 892.97 | 893.50 | 881.54 | 868.52 | 888.86 | 864.60 | 823.04 | 798.07 | 800.03 | 787.20 | 786.02 | 761.60 | 774.60 | 766.81 | 770.73 | 755.13 | 771.30 | 764.20 | 749.50 | 714.01 | 720.37 | 712.21 | 685.22 | 666.82 | 685.74 | 661.59 | 644.03 | 628.02 | 593.46 | 595.94 | 586.52 | 574.04 | 608.82 | 587.07 | 572.10 | 545.58 | 552.55 | 605.94 | 702.96 | 732.93 | 768.87 | 838.78 | 825.92 | 835.40 | 878.69 | 888.91 | 939.95 | 923.66 | 971.17 | 990.63 |
| Total current liabilities | 487.50 | 423.72 | 416.29 | 420.79 | 455.51 | 434.89 | 439.94 | 437.28 | 439.94 | 431.81 | 437.91 | 475.86 | 509.38 | 550.72 | 639.06 | 675.69 | 713.47 | 680.54 | 652.34 | 611.67 | 550.85 | 490.31 | 424.55 | 350.17 | 328.52 | 317.61 | 295.85 | 238.64 | 268.90 | 286.38 | 190.81 | 181.35 | 198.07 | 186.92 | 174.51 | 198.68 | 190.09 | 163.63 | 151.84 | 157.43 | 155.00 | 162.31 | 145.18 | 154.89 | 153.07 | 159.41 | 151.71 | 167.38 | 163.88 | 161.26 | 144.42 | 150.16 | 146.81 | 132.35 | 125.81 | 149.76 | 136.25 | 133.61 | 122.23 | 132.10 | 132.89 | 129.54 | 122.33 | 147.28 | 138.73 | 134.55 | 118.40 | 126.03 | 148.63 | 164.48 | 147.71 | 163.91 | 170.81 | 197.34 | 191.88 | 228.21 | 190.57 | 225.37 | 194.03 | 228.41 | 222.97 |
| Total non-current liabilities | 544.31 | 483.58 | 481.64 | 469.40 | 471.20 | 473.02 | 467.20 | 462.80 | 490.46 | 474.42 | 445.75 | 438.31 | 420.47 | 423.03 | 435.83 | 573.18 | 431.61 | 385.87 | 392.72 | 506.53 | 401.31 | 405.38 | 364.20 | 368.41 | 384.63 | 363.98 | 368.16 | 124.18 | 120.77 | 116.52 | 89.10 | 86.40 | 92.60 | 90.26 | 91.02 | 89.07 | 87.58 | 87.24 | 88.00 | 85.39 | 81.00 | 80.35 | 83.83 | 86.61 | 82.78 | 79.39 | 76.33 | 74.20 | 81.00 | 77.91 | 75.00 | 78.24 | 86.59 | 88.35 | 88.31 | 88.17 | 90.41 | 91.48 | 94.86 | 97.21 | 106.59 | 110.04 | 107.43 | 115.30 | 116.37 | 115.59 | 113.44 | 120.78 | 136.94 | 157.69 | 145.17 | 154.36 | 212.36 | 174.33 | 174.61 | 165.13 | 211.68 | 215.56 | 225.18 | 232.42 | 256.65 |
| Total liabilities | 1,031.81 | 907.30 | 897.93 | 890.19 | 926.71 | 907.91 | 907.14 | 900.08 | 930.41 | 906.24 | 883.66 | 914.17 | 929.85 | 973.75 | 1,074.89 | 1,248.87 | 1,145.08 | 1,066.41 | 1,045.06 | 1,118.20 | 952.15 | 895.69 | 788.75 | 718.58 | 713.15 | 681.59 | 664.01 | 362.81 | 389.67 | 402.90 | 279.92 | 267.75 | 290.66 | 277.19 | 265.53 | 287.75 | 277.67 | 250.87 | 239.84 | 242.82 | 236.00 | 242.65 | 229.01 | 241.50 | 235.85 | 238.80 | 228.03 | 241.58 | 244.88 | 239.17 | 219.42 | 228.40 | 233.40 | 220.70 | 214.11 | 237.92 | 226.66 | 225.09 | 217.09 | 229.32 | 239.48 | 239.58 | 229.75 | 262.58 | 255.10 | 250.14 | 231.84 | 246.81 | 285.58 | 322.16 | 292.89 | 318.27 | 383.17 | 371.67 | 366.49 | 393.34 | 402.25 | 440.93 | 419.21 | 460.83 | 479.61 |
| Total stockholders' equity | 1,042.52 | 1,039.59 | 1,016.17 | 1,020.62 | 1,021.27 | 1,009.93 | 999.21 | 1,003.06 | 978.22 | 964.28 | 953.26 | 941.84 | 906.10 | 874.66 | 835.26 | 810.73 | 775.39 | 777.30 | 755.53 | 773.50 | 779.43 | 746.78 | 707.57 | 700.75 | 713.90 | 695.20 | 683.27 | 682.51 | 657.26 | 635.82 | 614.21 | 612.18 | 589.88 | 592.26 | 591.31 | 589.92 | 576.19 | 561.73 | 547.98 | 547.14 | 541.69 | 534.05 | 523.81 | 524.15 | 522.27 | 523.71 | 519.18 | 521.89 | 511.94 | 502.93 | 487.82 | 484.83 | 472.01 | 458.00 | 446.55 | 441.90 | 429.53 | 416.11 | 407.76 | 361.32 | 358.79 | 347.57 | 343.31 | 342.10 | 327.76 | 317.52 | 309.13 | 305.73 | 320.37 | 380.80 | 440.04 | 450.60 | 455.61 | 454.24 | 468.91 | 485.35 | 486.66 | 499.02 | 504.45 | 510.35 | 511.02 |
| Common shares outstanding | 41 | 41 | 41 | 42 | 42 | 42 | 43 | 43 | 43 | 43 | 43 | 43 | 43 | 43 | 43 | 43 | 44 | 44 | 45 | 46 | 47 | 46 | 46 | 46 | 47 | 47 | 47 | 47 | 47 | 47 | 47 | 47 | 48 | 48 | 49 | 49 | 49 | 50 | 50 | 50 | 51 | 51 | 51 | 52 | 52 | 53 | 53 | 54 | 53 | 53 | 53 | 55 | 53 | 53 | 53 | 53 | 52 | 52 | 52 | 52 | 52 | 52 | 52 | 52 | 52 | 52 | 51 | 52 | 51 | 51 | 51 | 51 | 52 | 51 | 51 | 51 | 52 | 52 | 52 | 52 | 52 |