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Balance Sheet - Canaan Inc. (CAN)

$(Billion, Million)
Dec-25 Dec-24 Dec-23 Dec-22 Dec-21 Dec-20 Dec-19 Dec-18 Dec-17
Total cash and short-term investments + 80.78 96.49 99.90 718.80 2,684.53 122.31 527.50 258.94 267.63
Accounts receivable, net 19.29 114.66 58.40 496.10 274.66 100.40 2.84 22.55 1.31
Inventories 180.82 94.62 142.29 1,460.82 812.35 225.44 196.07 585.67 259.85
Other current assets 152.41 28.25 66.84 1,154.91 1,502.07 227.47 214.29 501.27 651.91
Total current assets 433.29 334.02 363.68 3,835.74 5,273.37 1,006.84 940.81 1,368.43 1,179.56
Total non-current assets + 169.59 128.99 129.62 892.11 358.79 29.16 50.62 34.27 23.66
Total assets 602.88 463.01 493.30 4,727.85 5,632.16 1,036.00 991.43 1,402.69 1,203.23
Total current liabilities + 131.09 178.57 135.19 515.65 2,085.07 592.26 285.23 1,105.89 350.32
Total non-current liabilities + 34.43 18.19 9.92 13.97 88.46 11.34 13.40 0.00 0.00
Total liabilities 165.52 196.76 145.11 529.62 2,173.53 603.60 298.63 1,161.72 345.98
Total stockholders' equity + 437.37 266.25 348.19 4,163.72 3,458.63 432.40 685.66 229.40 867.98
Common shares outstanding 469 271 172 172 172 156 144 132 131
Show Quarterly Balance Sheet

Balance Sheet - Canaan Inc. (CAN)

$(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
Total cash and short-term investments + 43.45 96.49 119.21 65.90 96.77 96.49 71.78 70.13 58.40 723.92 44.30 66.24 94.84 2,686.64 2,024.79 2,640.01 2,676.84 455.50 1,732.04 1,219.93 1,345.95 69.44 381.84 504.37 437.72 75.41 414.50 55.58 0.00 258.94 0.00 0.00 0.00 0.00 0.00 0.00 0.00
Accounts receivable, net 78.57 114.66 120.15 127.92 62.61 1.51 67.72 8.16 1.64 496.10 9.78 10.10 10.10 0.37 5.53 0.00 0.00 0.06 0.82 0.37 7.02 1.09 0.35 10.11 6.77 0.41 4.36 2.91 158.67
Inventories 139.08 94.62 201.74 107.95 113.86 94.62 87.80 131.30 98.98 1,460.82 216.99 272.54 310.07 812.04 1,328.33 1,625.82 1,193.15 127.56 833.01 586.96 376.01 34.52 53.27 88.08 226.56 28.02 392.07 61.14 585.67
Other current assets 94.81 28.25 76.26 119.22 161.91 3.45 80.19 129.75 165.15 1,154.91 81.68 83.59 138.33 1,789.92 1,686.95 1,419.96 1,933.16 281.17 1,316.43 1,420.38 594.66 48.42 250.74 182.95 262.10 29.44 634.31 82.09 -38.58 78.13 -42.48
Total current assets 355.91 334.02 517.36 421.00 435.15 334.02 307.49 335.99 320.42 3,835.74 349.00 432.46 520.11 5,271.38 5,022.63 5,685.78 5,773.37 828.07 3,841.43 3,226.64 2,323.64 154.16 686.20 782.97 931.48 134.46 1,445.22 201.72 1,368.43
Total non-current assets + 176.16 128.99 152.64 171.18 130.40 128.99 194.64 189.55 212.79 892.11 114.82 106.78 112.80 358.65 556.51 507.36 476.36 56.34 86.04 50.17 37.32 4.46 38.43 125.50 42.40 7.23 150.87 8.61 34.27
Total assets 532.07 463.01 670.00 592.18 565.55 463.01 502.14 525.54 533.21 4,727.85 463.82 539.24 632.92 5,630.04 5,579.14 6,193.14 6,249.73 884.41 3,927.47 3,276.81 2,360.96 158.63 724.64 908.47 973.88 141.70 1,596.09 210.33 1,402.69
Total current liabilities + 106.42 178.57 278.96 236.95 289.87 178.57 151.20 116.83 110.33 515.65 90.83 110.26 82.88 2,084.28 691.01 1,475.67 2,194.54 327.42 1,446.53 1,346.30 1,774.75 90.69 166.16 246.40 291.86 40.77 668.61 88.62 1,105.89
Total non-current liabilities + 43.71 18.19 11.14 31.63 31.05 18.19 35.13 30.52 11.84 13.97 9.78 2.22 2.59 88.43 18.73 16.89 85.12 13.89 18.72 74.01 8.26 1.74 15.16 17.40 21.15 1.92 17.74 2.72 -35.90 0.00 -136.65
Total liabilities 150.13 196.76 290.10 268.57 320.92 196.76 186.33 147.34 122.17 533.52 100.62 112.47 85.47 2,172.71 709.74 1,492.56 2,279.67 341.31 1,465.25 1,420.31 1,783.01 92.42 181.31 263.80 313.01 42.68 686.35 91.34 -35.90 1,161.72 -136.65
Total stockholders' equity + 381.94 266.25 379.90 323.60 244.64 266.25 315.81 378.20 411.04 4,163.72 363.20 426.76 547.45 3,457.33 4,869.40 4,700.58 3,970.07 543.10 2,462.23 1,856.50 577.95 66.21 543.32 644.66 660.87 99.02 909.75 118.99 35.90 240.98 136.65
Common shares outstanding 691 286 519 400 321 268 278 275 248 168 171 170 167 176 172 172 172 176 174 175 162 156 157 157 157 149 146 140 135 130 130 133 133 157 157 157 157
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