Palantir Technologies Inc. (BVMF:P2LT34)
Brazil flag Brazil · Delayed Price · Currency is BRL
314.86
+3.87 (1.24%)
At close: Dec 4, 2025

Palantir Technologies Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
TTM FY 2024 FY 2023 FY 2022 FY 2021 FY 2020 2019 - 2018
Period Ending
Sep '25 Dec '24 Dec '23 Dec '22 Dec '21 Dec '20 2019 - 2018
Cash & Equivalents
1,6162,099831.052,5992,2912,011
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Short-Term Investments
4,8223,1312,84335.14234.15-
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Cash & Short-Term Investments
6,4385,2303,6742,6342,5252,011
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Cash Growth
41.04%42.34%39.51%4.31%25.53%86.38%
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Receivables
1,006575.05364.78258.35190.92156.93
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Prepaid Expenses
132.98121.5599.29149.56110.8751.89
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Restricted Cash
9.457.70.37-36.6337.29
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Total Current Assets
7,5865,9344,1393,0422,8632,257
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Property, Plant & Equipment
250.02240.38230.62269.41248.2246.62
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Long-Term Investments
163.264.932.6---
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Other Intangible Assets
-18.0625.9---
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Other Long-Term Assets
114.5883.2694.68150.25136186.46
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Total Assets
8,1146,3414,5223,4613,2472,691
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Accounts Payable
67.50.112.1244.7974.9116.36
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Accrued Expenses
381.74384.8175.73131.39133.26158.55
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Current Portion of Leases
46.2743.9954.1845.139.9329.08
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Current Income Taxes Payable
-42.2447.2641.3322.55-
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Current Unearned Revenue
316.72259.62246.9183.35227.82189.52
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Other Current Liabilities
368.17265.25209.83141.99161.61210.32
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Total Current Liabilities
1,180996.02746.02587.94660.06603.82
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Long-Term Debt
-----197.98
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Long-Term Leases
189.17195.23175.22204.31220.15229.8
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Long-Term Unearned Revenue
43.939.8928.059.9740.2250.53
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Other Long-Term Liabilities
12.2215.3512.1816.593685.83
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Total Liabilities
1,4261,246961.46818.8956.421,168
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Common Stock
2.382.342.22.12.031.79
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Additional Paid-In Capital
10,74810,1949,1228,4287,7776,489
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Retained Earnings
-4,171-5,187-5,650-5,859-5,486-4,965
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Comprehensive Income & Other
11.54-5.610.8-5.33-2.35-2.75
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Total Common Equity
6,5905,0033,4762,5652,2911,523
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Minority Interest
97.8191.1385.477.11--
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Shareholders' Equity
6,6885,0943,5612,6422,2911,523
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Total Liabilities & Equity
8,1146,3414,5223,4613,2472,691
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Total Debt
235.44239.22229.39249.4260.07456.86
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Net Cash (Debt)
6,2024,9913,4452,3842,2651,554
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Net Cash Growth
43.91%44.88%44.48%5.28%45.69%127.56%
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Net Cash Per Share
2.432.041.501.161.181.59
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Filing Date Shares Outstanding
2,3832,3452,2132,1012,0301,822
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Total Common Shares Outstanding
2,3832,3392,2002,0992,0271,792
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Working Capital
6,4064,9383,3932,4542,2031,654
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Book Value Per Share
2.772.141.581.221.130.85
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Tangible Book Value
6,5904,9853,4502,5652,2911,523
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Tangible Book Value Per Share
2.772.131.571.221.130.85
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Machinery
85.3669.7264.6865.725.2732.25
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Construction In Progress
5.967.632.15.513.130.49
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Leasehold Improvements
97.1885.2883.1480.3872.8385.2
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Source: S&P Capital IQ. Standard template. Financial Sources.