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Balance Sheet - OneSpan Inc. (OSPN)

$(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 + 70.50 83.16 42.49 98.83 98.49 115.25 109.79 99.15 158.39 144.20 123.48 202.32 98.61 106.47 84.50 85.53 67.60 57.71 38.83 14.77
Accounts receivable, net 74.27 64.92 69.53 69.65 61.31 64.74 67.65 67.59 48.13 36.88 29.94 30.59 29.07 27.99 32.30 23.98 31.49 32.40 30.64 20.58
Inventories 10.47 10.79 15.55 12.05 10.35 13.09 19.82 14.43 12.04 17.42 20.62 33.88 25.65 18.68 16.03 10.71 9.02 13.38 7.08 4.28
Other current assets 16.98 16.20 18.77 17.01 16.95 14.09 12.54 10.44 5.50 8.66 4.78 4.38 8.31 6.30 6.93 2.43 2.78 2.41 2.37 1.69
Total current assets 172.21 175.07 146.34 197.54 187.09 207.18 209.80 194.35 227.94 207.48 183.37 206.44 162.03 159.44 139.76 122.65 112.15 105.90 78.92 41.32
Total non-current assets + 225.49 163.67 142.85 137.54 155.18 168.03 172.74 160.87 109.69 119.17 128.46 45.11 50.60 27.07 29.17 20.29 21.35 22.05 21.76 21.33
Total assets 397.70 338.73 289.19 335.08 342.27 375.20 382.54 355.22 337.62 326.65 311.82 251.55 212.62 186.51 168.92 142.94 133.49 127.95 100.68 62.65
Total current liabilities + 114.57 110.28 114.83 110.81 89.08 75.30 73.81 73.48 66.15 67.96 55.69 45.41 37.49 29.95 31.17 25.77 23.25 29.97 26.48 19.26
Total non-current liabilities + 11.29 15.93 15.22 20.96 33.42 42.56 46.44 28.03 33.54 0.90 8.09 0.27 0.86 0.24 1.96 0.68 1.10 2.69 2.66 1.18
Total liabilities 125.86 126.20 130.05 131.77 122.49 117.86 120.25 101.51 99.69 68.86 63.77 45.68 38.35 30.19 33.12 26.45 24.35 32.67 29.14 20.44
Total stockholders' equity + 271.84 212.53 159.14 203.31 219.78 257.34 262.29 253.71 237.93 257.79 248.05 205.87 174.28 156.32 135.80 116.49 109.15 95.28 71.54 42.21
Common shares outstanding 38 39 40 40 40 40 40 40 40 40 40 39 39 39 39 38 38 38 38 38
Show Quarterly Balance Sheet

Balance Sheet - OneSpan Inc. (OSPN)

$(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 + 49.75 70.50 85.55 92.89 105.21 83.16 77.48 64.30 63.86 43.53 68.50 83.09 106.52 98.83 93.62 97.81 119.95 98.49 97.82 109.26 115.21 115.25 112.74 110.78 105.28 109.79 81.33 75.42 95.27 99.15 91.94 101.43 166.44 158.39 158.72 156.22 145.98 144.20 141.54 135.75 125.20 123.48 183.98 157.01 149.09 202.32 170.83 153.29 109.49 98.61 92.12 85.65 104.64 106.47 96.14 85.15 93.38 84.50 77.49 84.63 86.02 85.53 86.43 75.99 76.12 67.60 71.23 67.59 57.33 57.71 50.70 42.08 47.82 38.83 40.04 29.29 19.96 14.77 23.49 15.87 15.07
Accounts receivable, net 46.79 74.27 44.20 49.43 40.18 64.92 35.23 49.84 37.25 69.53 43.63 43.63 36.54 69.65 48.31 45.01 41.11 61.31 49.37 51.01 52.98 64.74 61.08 61.20 70.36 67.65 82.71 73.35 63.76 67.59 49.19 46.62 39.32 48.13 34.61 28.32 35.24 36.88 27.50 32.69 37.90 29.94 36.87 39.15 31.03 29.99 27.37 22.07 21.44 28.53 27.59 26.70 27.12 27.99 30.62 34.31 23.02 32.30 29.50 23.12 21.51 23.98 18.99 19.98 22.53 31.49 21.24 18.60 22.96 32.40 38.78 40.05 27.32 30.64 21.15 25.01 24.09 20.58 13.39 16.69 12.14
Inventories 9.14 10.47 11.24 11.45 11.03 10.79 13.02 12.51 14.59 15.55 15.46 15.00 15.64 12.05 9.47 10.00 10.39 10.35 11.72 9.50 11.35 13.09 14.03 16.44 18.37 19.82 18.98 20.22 15.24 14.43 15.31 14.45 11.50 12.04 17.40 17.68 18.82 17.42 18.44 17.92 18.02 20.62 21.90 30.29 32.70 33.88 31.43 25.69 25.82 25.65 26.31 25.49 21.69 18.68 17.70 17.09 19.57 16.03 16.81 14.17 11.77 10.71 8.04 8.26 8.90 9.02 10.22 12.32 12.86 13.38 10.90 10.83 8.42 7.08 6.67 6.90 5.73 4.28 2.68 2.76 2.30
Other current assets 17.20 16.98 16.54 15.72 14.14 16.20 16.15 17.22 18.47 17.73 18.48 18.22 17.56 17.01 16.02 17.70 17.25 16.95 19.35 17.68 17.19 14.09 14.27 13.27 13.96 12.54 14.86 14.53 12.45 10.44 12.51 14.31 11.03 5.50 8.71 8.30 9.36 8.66 7.49 8.02 8.71 4.78 3.98 4.42 4.55 4.98 7.78 7.69 8.22 8.86 8.12 4.77 5.10 6.30 5.80 7.39 8.18 6.93 5.09 4.83 4.19 2.43 2.11 2.01 2.62 2.78 2.84 2.10 2.42 2.41 2.08 1.98 2.20 2.37 2.24 1.72 2.07 1.69 1.03 1.11 1.68
Total current assets 122.88 172.21 157.53 169.48 170.56 175.07 141.87 143.87 134.17 146.34 146.06 159.95 176.26 197.54 167.41 170.52 188.70 187.09 178.25 187.44 196.72 207.18 202.13 201.68 207.97 209.80 197.88 183.53 186.72 194.35 168.94 176.81 228.29 227.94 219.44 210.50 209.40 207.48 194.96 194.38 189.83 183.37 246.73 230.87 217.37 206.44 192.48 178.76 164.97 162.03 154.15 142.60 158.55 159.44 150.29 143.94 144.14 139.76 128.89 126.75 123.49 122.65 115.57 106.24 110.17 110.89 105.54 100.62 95.57 105.90 102.46 94.94 85.75 78.92 70.11 62.91 51.84 41.32 40.59 36.43 31.18
Total non-current assets + 260.26 225.49 185.99 187.62 163.25 163.67 147.40 143.00 142.98 142.85 136.63 138.69 141.05 137.54 132.12 141.39 147.22 155.18 163.09 166.89 165.75 168.03 167.41 166.78 169.03 172.74 167.40 169.88 168.76 160.87 164.48 170.28 118.58 109.69 116.25 118.48 118.64 119.17 120.17 119.75 121.59 128.46 39.91 40.65 41.65 45.11 47.83 51.43 51.08 50.60 46.85 47.04 26.21 27.07 27.86 27.03 28.45 29.17 28.71 36.38 34.39 20.29 20.65 19.00 20.59 21.84 22.34 21.74 20.79 22.05 22.23 24.12 23.36 21.76 21.72 21.05 21.30 21.33 11.94 11.97 8.74
Total assets 383.15 397.70 343.52 357.10 333.81 338.73 289.27 286.86 277.14 289.19 282.69 298.65 317.31 335.08 299.53 311.91 335.91 342.27 341.35 354.33 362.48 375.20 369.53 368.46 377.00 382.54 365.28 347.17 355.48 355.22 333.42 347.09 346.87 337.62 335.69 328.98 328.04 326.65 315.13 314.12 311.42 311.82 286.64 271.52 259.01 251.55 240.31 230.19 216.04 212.62 201.00 189.64 184.76 186.51 178.15 170.96 172.59 168.92 157.60 163.13 157.88 142.94 136.22 125.24 130.76 132.72 127.87 122.35 116.35 127.95 124.68 119.05 109.11 100.68 91.82 83.96 73.14 62.65 52.52 48.40 39.92
Total current liabilities + 98.00 114.57 90.03 95.58 87.04 110.28 80.44 93.70 92.17 114.83 91.33 97.31 96.95 110.81 77.58 79.05 80.44 89.08 73.33 76.88 74.60 75.30 66.64 70.49 68.67 73.81 71.44 63.70 73.35 73.48 56.91 60.89 57.35 66.15 60.07 58.09 66.97 67.96 58.05 58.46 58.21 55.69 41.94 39.01 42.51 45.41 44.31 43.57 37.23 37.49 34.03 30.15 27.62 29.95 26.54 25.90 31.45 31.17 29.67 32.85 32.67 25.77 23.29 22.51 23.85 23.25 22.22 20.68 20.31 29.97 28.68 28.07 26.78 26.48 23.47 25.09 23.05 19.26 16.54 16.58 12.49
Total non-current liabilities + 13.13 11.29 15.17 19.02 15.66 15.93 14.24 14.58 14.10 15.22 14.04 14.74 21.02 20.96 27.03 28.52 31.88 33.42 37.40 38.80 41.40 42.56 43.68 40.76 47.69 46.44 39.77 38.66 34.17 28.03 26.63 35.28 35.29 33.54 10.31 10.31 2.88 0.90 0.89 1.08 1.02 8.09 0.12 0.15 0.18 0.27 0.84 0.53 0.39 0.86 0.33 0.23 0.22 0.24 0.26 0.37 0.39 1.96 1.42 2.26 1.69 0.68 1.55 1.23 1.11 1.10 0.96 0.96 0.97 2.69 2.70 2.70 2.00 2.66 1.76 1.43 1.26 1.18 0.70 0.47 0.25
Total liabilities 111.13 125.86 105.20 114.59 102.69 126.20 94.69 108.28 106.27 130.05 105.38 112.05 117.98 131.77 104.61 107.57 112.32 122.49 110.73 115.68 116.00 117.86 110.32 111.25 116.36 120.25 111.20 102.36 107.52 101.51 83.55 96.18 92.64 99.69 70.38 68.40 69.85 68.86 58.94 59.54 59.23 63.77 42.05 39.15 42.68 45.68 45.15 44.10 37.62 38.35 34.36 30.38 27.84 30.19 26.80 26.27 31.84 33.12 31.09 35.10 34.36 26.45 24.84 23.74 24.96 24.35 23.17 21.64 21.29 32.67 31.39 30.77 28.79 29.14 25.23 26.52 24.31 20.44 17.24 17.05 12.73
Total stockholders' equity + 272.02 271.84 238.32 242.51 231.12 212.53 194.59 178.58 170.87 159.14 177.32 186.60 199.33 203.31 194.92 204.34 223.60 219.78 230.62 238.65 246.48 257.34 259.22 257.21 260.64 262.29 254.08 244.82 247.96 253.71 249.88 250.92 254.23 237.93 265.31 260.58 258.19 257.79 256.19 254.58 252.19 248.05 244.59 232.37 216.33 205.87 195.16 186.09 178.43 174.28 166.63 159.26 156.91 156.32 151.35 144.69 140.75 135.80 126.51 128.03 123.52 116.49 111.39 101.51 105.80 108.38 104.70 100.72 95.07 95.28 93.30 88.28 80.32 71.54 66.59 57.44 48.83 42.21 35.29 31.35 27.18
Common shares outstanding 38 38 39 39 39 40 39 39 38 40 40 40 40 40 40 40 40 39 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 40 39 39 39 39 39 39 39 39 39 38 38 39 39 38 38 38 38 38 37 38 38 38 37 38 38 38 37 38 38 38 36 38 38 38
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