Balance Sheet - ONITY GROUP INC. (ONIT)
$(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 | 180.50 | 184.80 | 213.10 | 208.60 | 263.45 | 308.01 | 428.73 | 330.47 | 264.39 | 256.55 | 257.27 | 129.47 | 4,823.26 | 220.13 | 3,956.93 | 127.80 | 90.92 | 201.03 | 114.24 | 236.58 |
| Accounts receivable, net | 11,889.00 | 12,592.00 | 8,807.60 | 8,314.30 | 8,316.90 | 7,582.40 | 6,769.43 | 5,939.60 | 199.53 | 4,178.67 | 3,191.82 | 2,309.35 | 1,337.19 | 642.20 | 140.82 | 69.52 | 67.10 | 42.80 | 79.39 | 964.16 |
| Inventories | 12,415.60 | 677.20 | 8,066.50 | 8,064.37 | 7,320.05 | 6,501.65 | 5,669.85 | 4,949.45 | 3,912.95 | 2,904.84 | 2,038.75 | 1,184.68 | ||||||||
| Other current assets | 590.70 | -11,719.10 | 784.40 | 819.10 | 890.20 | 948.83 | 1,168.50 | 1,306.24 | 1,492.92 | 1,830.30 | 2,339.44 | 3,461.07 | 3,651.31 | 3,343.27 | 3,821.52 | -197.31 | -158.01 | -243.82 | -193.64 | -1,200.74 |
| Total current assets | 12,660.20 | 13,473.30 | 9,793.60 | 9,341.40 | 9,399.90 | 8,816.03 | 8,366.27 | 7,574.98 | 6,906.30 | 6,265.51 | 5,788.53 | 5,899.90 | 5,167.02 | 4,205.60 | 4,106.57 | |||||
| Total non-current assets | 3,510.50 | 2,962.10 | 2,720.30 | 3,057.80 | 2,747.30 | 1,835.10 | 2,039.93 | 1,819.24 | 1,496.87 | 1,390.15 | 1,591.77 | 2,367.38 | 2,759.99 | 1,480.37 | 621.45 | |||||
| Total assets | 16,170.60 | 16,435.40 | 12,513.70 | 12,399.20 | 12,147.10 | 10,651.13 | 10,406.20 | 9,394.22 | 8,403.16 | 7,655.66 | 7,380.31 | 8,267.28 | 7,927.00 | 5,685.96 | 4,728.02 | 2,921.41 | 1,769.35 | 2,238.01 | 2,394.70 | 2,009.74 |
| Total current liabilities | 247.00 | 252.40 | 219.90 | 264.90 | 293.30 | 262.09 | 1,076.61 | 630.15 | 806.61 | 1,011.56 | 229.70 | 439.66 | 437.01 | 199.19 | 116.05 | |||||
| Total non-current liabilities | 15,295.60 | 15,690.10 | 11,892.00 | 11,677.60 | 11,377.10 | 9,973.67 | 8,917.58 | 8,209.36 | 7,395.83 | 5,988.82 | 6,295.97 | 6,786.46 | 5,617.04 | 3,721.98 | 3,268.66 | |||||
| Total liabilities | 15,542.60 | 15,942.50 | 12,111.90 | 11,942.50 | 11,670.40 | 10,235.76 | 9,994.19 | 8,839.51 | 7,856.29 | 7,000.38 | 6,525.67 | 7,226.11 | 6,054.05 | 3,921.17 | 3,384.71 | 2,016.59 | 903.49 | 1,629.83 | 1,806.57 | 1,448.18 |
| Total stockholders' equity | 628.00 | 492.90 | 401.80 | 456.70 | 476.70 | 415.37 | 412.01 | 554.71 | 545.04 | 652.96 | 851.56 | 1,038.39 | 1,872.95 | 1,764.79 | 1,343.31 | 904.57 | 865.61 | 607.78 | 586.15 | 557.98 |
| Common shares outstanding | 9 | 8 | 8 | 9 | 9 | 9 | 9 | 9 | 8 | 8 | 8 | 9 | 9 | 9 | 7 | 7 | 5 | 4 | 5 | 5 |
Show Quarterly Balance Sheet
Balance Sheet - ONITY GROUP INC. (ONIT)
$(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 | 182.50 | 180.50 | 172.80 | 194.30 | 236.90 | 184.80 | 201.60 | 203.10 | 251.20 | 213.10 | 194.40 | 214.80 | 247.10 | 208.60 | 181.30 | 322.58 | 344.99 | 192.80 | 236.07 | 243.58 | 259.11 | 284.80 | 344.63 | 313.74 | 277.40 | 428.34 | 345.08 | 287.72 | 263.19 | 329.13 | 254.84 | 228.41 | 285.65 | 259.66 | 305.27 | 264.45 | 268.32 | 256.55 | 263.53 | 218.92 | 280.51 | 257.27 | 458.67 | 320.08 | 242.33 | 129.47 | 299.16 | 259.47 | 242.39 | 4,823.26 | 357.49 | 439.75 | 663.41 | 220.13 | 270.50 | 128.11 | 683.95 | 3,956.93 | 152.04 | 104.17 | 129.09 | 127.80 | 0.00 | 143.39 | 300.01 | 90.92 | 232.47 | 213.91 | 158.86 | 201.03 | 217.95 | 148.84 | 174.68 | 114.24 | 143.94 | 171.43 | 163.31 | 236.58 | 192.23 | 193.13 | 183.81 |
| Accounts receivable, net | 13,111.70 | 11,889.00 | 12,200.50 | 12,723.70 | 12,437.10 | 12,592.00 | 9,701.40 | 9,488.20 | 9,311.50 | 8,807.60 | 8,896.50 | 9,225.80 | 8,718.60 | 8,314.30 | 8,302.76 | 179.49 | 8,397.79 | 8,316.90 | 8,225.52 | 7,982.16 | 180.28 | 7,582.40 | 7,453.18 | 7,256.79 | 7,072.70 | 6,769.43 | 6,501.49 | 6,281.79 | 6,172.88 | 5,939.60 | 155.94 | 178.68 | 166.52 | 199.53 | 4,914.94 | 4,737.53 | 4,469.69 | 4,178.67 | 3,984.25 | 3,766.73 | 3,417.63 | 3,191.82 | 3,208.06 | 2,828.87 | 2,515.97 | 2,309.35 | 1,969.03 | 1,849.22 | 1,489.89 | 1,337.19 | 849.36 | 662.80 | 451.07 | 642.20 | 132.07 | 83.12 | 62.24 | 140.82 | 53.14 | 53.07 | 50.28 | 69.52 | 56.94 | 53.56 | 67.10 | 33.14 | 47.92 | 49.43 | 42.80 | 69.31 | 70.71 | 1,522.19 | 79.39 | 1,200.16 | 982.37 | 856.46 | 964.16 | 753.21 | 676.29 | 658.77 | |
| Inventories | 12,415.60 | 9,529.20 | 9,288.50 | 9,093.30 | 8,599.30 | 8,730.90 | 8,917.30 | 8,478.30 | 8,066.50 | 8,131.02 | 8,003.58 | 8,106.88 | 8,064.37 | 8,041.26 | 7,814.81 | 7,568.95 | 7,392.51 | 7,249.39 | 7,007.03 | 6,835.25 | 6,566.04 | 6,347.03 | 6,091.51 | 5,973.58 | 5,739.06 | 5,525.00 | 5,353.23 | 5,168.63 | 4,954.19 | 4,683.42 | 4,305.58 | 3,912.95 | 3,704.37 | ||||||||||||||||||||||||||||||||||||||||||||||||
| Other current assets | 579.80 | 590.70 | 557.20 | 549.60 | 544.90 | -11,719.10 | 630.90 | 635.40 | 706.20 | 784.40 | 681.20 | 758.80 | 735.20 | 819.10 | 748.57 | 778.42 | 878.32 | 890.20 | 870.96 | 877.52 | 915.04 | 948.83 | 938.03 | 1,013.04 | 1,137.29 | 1,168.50 | 1,148.16 | 1,206.92 | 1,206.07 | 1,306.24 | 1,171.10 | 1,231.35 | 1,365.14 | 1,492.92 | 1,530.77 | 1,621.56 | 1,742.69 | 1,830.30 | 1,936.15 | 2,079.58 | 2,180.00 | 2,339.44 | 2,718.45 | 3,005.22 | 3,354.02 | 3,461.07 | 3,540.31 | 3,644.98 | 3,771.85 | 3,651.31 | 1,634.73 | 3,520.60 | 4,177.53 | 3,343.27 | -402.57 | -211.23 | -746.18 | 3,821.52 | -205.18 | -157.23 | -179.37 | -197.31 | -200.33 | -353.58 | -158.01 | -228.99 | -261.83 | -208.29 | -243.82 | -231.61 | -219.55 | -1,696.88 | -193.64 | -1,344.10 | -1,153.79 | -1,019.77 | -1,200.74 | -945.45 | -869.42 | -842.59 | |
| Total current assets | 13,874.00 | 12,660.20 | 12,930.50 | 13,467.60 | 13,218.90 | 13,473.30 | 10,533.90 | 10,326.70 | 10,202.80 | 9,793.60 | 9,771.70 | 10,198.00 | 9,670.40 | 9,341.40 | 9,277.90 | 9,284.07 | 9,544.80 | 9,399.90 | 9,332.55 | 9,103.26 | 8,923.37 | 8,816.03 | 8,712.66 | 8,583.57 | 8,473.54 | 8,366.27 | 7,994.73 | 7,776.43 | 7,642.15 | 7,574.98 | 7,106.88 | 6,991.67 | 6,985.94 | 6,906.30 | 6,745.59 | 6,610.56 | 6,480.70 | 6,265.51 | 6,183.94 | 6,065.22 | 5,878.14 | 5,788.53 | 6,385.18 | 6,154.16 | 6,112.33 | 5,899.90 | 5,808.50 | 5,753.67 | 5,504.13 | 5,167.02 | 2,841.58 | 4,623.15 | 5,292.01 | 4,205.60 | 4,106.57 | 200.33 | 353.58 | 208.29 | |||||||||||||||||||||||
| Total non-current assets | 3,861.30 | 3,510.50 | 3,176.90 | 3,063.80 | 3,040.60 | 2,962.10 | 2,692.90 | 2,758.10 | 2,887.40 | 2,720.30 | 3,240.00 | 3,017.80 | 2,956.60 | 3,057.80 | 3,082.17 | 2,823.63 | 2,753.01 | 2,747.30 | 2,707.69 | 2,664.45 | 1,848.42 | 1,835.10 | 1,711.19 | 1,726.87 | 1,512.48 | 2,039.93 | 1,961.92 | 1,851.37 | 1,895.07 | 1,819.24 | 1,354.16 | 1,428.52 | 1,477.38 | 1,496.87 | 1,352.02 | 1,321.83 | 1,382.44 | 1,390.15 | 1,401.51 | 1,423.03 | 1,528.97 | 1,591.77 | 1,625.87 | 1,850.48 | 2,274.45 | 2,367.38 | 2,547.14 | 2,611.23 | 2,681.30 | 2,759.99 | 2,470.11 | 2,459.13 | 1,956.01 | 1,480.37 | 621.45 | 1,877.20 | 1,461.88 | 1,821.23 | |||||||||||||||||||||||
| Total assets | 17,735.20 | 16,170.60 | 16,107.40 | 16,531.30 | 16,259.30 | 16,435.40 | 13,226.70 | 13,084.70 | 13,090.10 | 12,513.70 | 13,011.70 | 13,216.00 | 12,627.00 | 12,399.20 | 12,360.07 | 12,107.69 | 12,297.81 | 12,147.10 | 12,040.24 | 11,767.71 | 10,771.79 | 10,651.13 | 10,423.85 | 10,310.44 | 9,986.02 | 10,406.20 | 9,956.65 | 9,627.79 | 9,537.21 | 9,394.22 | 8,461.04 | 8,420.20 | 8,463.32 | 8,403.16 | 8,097.61 | 7,932.39 | 7,863.14 | 7,655.66 | 7,585.45 | 7,488.25 | 7,407.11 | 7,380.31 | 8,011.05 | 8,004.64 | 8,386.77 | 8,267.28 | 8,355.64 | 8,364.90 | 8,185.43 | 7,927.00 | 5,311.68 | 7,082.28 | 7,248.02 | 5,685.96 | 4,156.02 | 5,374.86 | 4,494.51 | 4,728.02 | 4,897.18 | 2,288.75 | 2,565.79 | 2,921.41 | 2,077.53 | 1,815.46 | 1,769.35 | 1,875.05 | 2,034.29 | 2,029.52 | 2,238.01 | 2,302.42 | 2,486.21 | 2,753.76 | 2,394.70 | 2,110.34 | 2,112.61 | 1,951.34 | 2,009.74 | 1,912.77 | 1,659.68 | 1,554.56 | |
| Total current liabilities | 269.40 | 247.00 | 253.90 | 220.70 | 215.60 | 252.40 | 226.40 | 207.50 | 203.50 | 219.90 | 214.60 | 217.80 | 249.20 | 264.90 | 270.06 | 242.52 | 281.02 | 293.30 | 271.53 | 261.75 | 243.88 | 262.09 | 1,038.72 | 240.54 | 810.48 | 1,076.61 | 940.20 | 717.16 | 326.43 | 630.15 | 316.29 | 287.07 | 341.85 | 806.61 | 511.91 | 629.09 | 685.58 | 1,011.56 | 649.71 | 385.81 | 588.37 | 229.70 | 317.57 | 580.86 | 686.23 | 439.66 | 807.44 | 653.83 | 638.05 | 437.01 | 566.54 | 645.64 | 659.82 | 199.19 | 116.05 | 102.64 | 139.76 | 234.43 | |||||||||||||||||||||||
| Total non-current liabilities | 16,836.50 | 15,295.60 | 15,352.10 | 15,778.80 | 15,533.60 | 15,690.10 | 12,532.20 | 12,431.00 | 12,454.50 | 11,892.00 | 12,352.00 | 12,564.40 | 11,961.50 | 11,677.60 | 11,543.90 | 10,501.09 | 11,482.66 | 11,377.10 | 11,298.84 | 11,058.86 | 10,087.90 | 9,973.67 | 8,960.66 | 9,637.13 | 8,745.68 | 8,917.58 | 8,635.27 | 8,487.74 | 8,699.19 | 8,209.36 | 7,584.00 | 7,531.94 | 7,489.13 | 7,049.68 | 6,996.28 | 6,723.05 | 6,554.13 | 5,988.82 | 6,272.35 | 6,449.29 | 6,080.28 | 6,295.97 | 6,613.03 | 6,278.75 | 6,579.00 | 6,786.46 | 5,933.76 | 5,793.00 | 5,611.38 | 5,617.04 | 2,943.77 | 4,554.90 | 4,782.07 | 3,721.98 | 3,268.66 | 1,074.96 | 784.85 | 1,168.41 | |||||||||||||||||||||||
| Total liabilities | 17,105.90 | 15,542.60 | 15,606.00 | 15,999.50 | 15,749.20 | 15,942.50 | 12,758.60 | 12,638.50 | 12,658.00 | 12,111.90 | 12,566.60 | 12,782.20 | 12,210.70 | 11,942.50 | 11,813.96 | 11,563.78 | 11,763.68 | 11,670.40 | 11,570.37 | 11,320.61 | 10,331.78 | 10,235.76 | 9,999.38 | 9,877.67 | 9,556.17 | 9,994.19 | 9,575.47 | 9,204.90 | 9,025.62 | 8,839.51 | 7,900.29 | 7,819.01 | 7,830.98 | 7,856.29 | 7,508.18 | 7,352.15 | 7,239.71 | 7,000.38 | 6,922.06 | 6,835.10 | 6,668.64 | 6,525.67 | 6,930.60 | 6,859.61 | 7,265.23 | 7,226.11 | 6,741.20 | 6,446.82 | 6,249.42 | 6,054.05 | 3,510.31 | 5,200.54 | 5,441.89 | 3,921.17 | 2,632.80 | 3,905.29 | 3,068.50 | 3,384.71 | 3,919.23 | 1,332.92 | 1,635.32 | 2,016.59 | 1,177.60 | 924.61 | 903.49 | 1,017.59 | 1,339.74 | 1,402.84 | 1,629.83 | 1,689.62 | 1,889.37 | 2,155.23 | 1,806.57 | 1,515.10 | 1,522.61 | 1,379.40 | 1,448.18 | 1,371.78 | 1,141.35 | 1,186.48 | |
| Total stockholders' equity | 629.30 | 628.00 | 501.40 | 531.80 | 510.10 | 492.90 | 468.10 | 446.20 | 432.10 | 401.80 | 445.10 | 433.80 | 416.30 | 456.70 | 546.11 | 543.92 | 534.13 | 476.70 | 469.87 | 447.10 | 440.01 | 415.37 | 424.47 | 432.77 | 429.86 | 412.01 | 381.19 | 422.89 | 511.59 | 554.71 | 559.56 | 600.02 | 630.44 | 545.04 | 586.81 | 577.75 | 621.01 | 652.96 | 661.08 | 650.92 | 736.40 | 851.56 | 1,077.36 | 1,142.06 | 1,118.74 | 1,038.39 | 1,611.75 | 1,915.51 | 1,933.49 | 1,872.95 | 1,801.37 | 1,881.74 | 1,806.13 | 1,764.79 | 1,523.21 | 1,469.57 | 1,426.01 | 1,343.31 | 977.70 | 955.58 | 930.22 | 904.57 | 899.69 | 890.60 | 865.61 | 857.20 | 694.24 | 626.37 | 607.78 | 610.68 | 594.57 | 594.40 | 586.15 | 593.03 | 585.81 | 569.98 | 557.98 | 537.19 | 516.44 | 366.14 | |
| Common shares outstanding | 9 | 9 | 9 | 9 | 8 | 8 | 8 | 8 | 8 | 8 | 8 | 8 | 8 | 8 | 9 | 9 | 10 | 9 | 9 | 9 | 9 | 9 | 9 | 9 | 9 | 9 | 9 | 9 | 9 | 9 | 9 | 9 | 9 | 9 | 9 | 8 | 8 | 8 | 8 | 8 | 8 | 8 | 8 | 8 | 8 | 8 | 9 | 9 | 9 | 9 | 9 | 10 | 9 | 9 | 9 | 9 | 9 | 8 | 7 | 7 | 7 | 7 | 7 | 7 | 7 | 5 | 6 | 5 | 5 | 4 | 5 | 4 | 4 | 4 | 5 | 5 | 5 | 5 | 5 | 5 | 5 |