Air Products and Chemicals APD Balance Sheet Statement
| TTM Q2 '26 | TTM Q1 '26 | TTM Q4 '25 | TTM Q3 '25 | TTM Q2 '25 | ||
|---|---|---|---|---|---|---|
| $951M-36.2% | $1.03B-44.4% | $1.86B-37.7% | $2.32B-2.2% | $1.49B-41.2% | ||
| $1.94B+5.0% | $1.89B+4.8% | $1.9B+4.4% | $1.94B+13.5% | $1.85B+7.6% | ||
| $767.9M-0.2% | $788.1M+6.6% | $776.5M+1.4% | $797.7M+5.6% | $769.7M+6.7% | ||
| $42.4M-14.2% | $38.6M-19.4% | $42.4M+0.5% | $49.4M+40.7% | $49.4M+48.3% | ||
| $196.5M+2.7% | $199.5M+5.1% | $191.9M-8.7% | $208.9M+2.1% | $191.3M-13.2% | ||
| —— | —— | —— | —— | —— | ||
| $97.8M-17.7% | $142M+41.9% | $152.6M+100% | $135.4M+38.7% | $118.8M+22.2% | ||
| $5.01B-3.4% | $5.1B-4.6% | $5.83B-8.4% | $6.15B+8.3% | $5.19B-14.4% | ||
| $26.69B+11.1% | $26.14B+5.7% | $25.34B+8.4% | $25.64B+19.4% | $24.03B+20.2% | ||
| $17.86B+7.5% | $17.64B+7.8% | $17.42B+5.0% | $17.35B+7.6% | $16.61B+4.4% | ||
| $958.7M+8.1% | $971.5M+12.1% | $963.9M+6.5% | $969.7M+10.3% | $887.1M+0.4% | ||
| $36.63B+8.7% | $36.14B+4.2% | $35.23B+6.1% | $35.51B+13.5% | $33.69B+12.8% | ||
| $41.64B+7.1% | $41.24B+3.1% | $41.06B+3.8% | $41.66B+12.7% | $38.87B+8.2% | ||
| $247.8M+1.6% | $250.2M+23.4% | $253.4M+5.6% | $232.9M-36.3% | $244M-38.4% | ||
| $314.4M-59.3% | $66.7M-2.2% | $34.7M-58.4% | $536.2M+237% | $773.2M+320% | ||
| $314.4M-59.3% | $66.7M-2.2% | $34.7M-58.4% | $536.2M+237% | $773.2M+320% | ||
| —— | —— | —— | —— | —— | ||
| $3.51B-32.6% | $3.5B-27.3% | $4.22B+0.9% | $4.76B+6.4% | $5.21B+28.3% | ||
| $600.1M-5.9% | $607M-7.3% | $616M-9.1% | $646.6M+1.1% | $637.4M-2.3% | ||
| $1.38B+4.4% | $1.34B-0.5% | $1.35B-0.2% | $1.35B+21.9% | $1.32B+20.9% | ||
| $19.98B+18.4% | $19.91B+20.9% | $19.49B+16.6% | $19.13B+21.0% | $16.88B+8.7% | ||
| $23.49B+6.3% | $23.4B+10.0% | $23.71B+13.4% | $23.89B+17.8% | $22.09B+12.8% | ||
| $18.14B+2.9% | $17.84B-9.8% | $17.56B-10.2% | $17.95B-0.2% | $17.64B-0.3% | ||
| -$2.06B+17.0% | -$1.98B+23.6% | -$2.09B-3.0% | -$1.97B+17.6% | -$2.48B-8.9% | ||
| $2B+0.3% | $2B+0.3% | $2B+0.9% | $2B+0.6% | $2B+1.6% | ||
| $15.65B+6.4% | $15.41B-7.7% | $15.02B-11.8% | $15.54B+2.9% | $14.7B-1.4% | ||
| $41.64B+7.1% | $41.24B+3.1% | $41.06B+3.8% | $41.66B+12.7% | $38.87B+8.2% | ||
| $85.2M-19.5% | $91.5M-5.6% | $85.4M-17.6% | $114.4M+0.9% | $105.9M-3.6% | ||
| $85.2M-19.5% | $91.5M-5.6% | $85.4M-17.6% | $114.4M+0.9% | $105.9M-3.6% | ||
| $717.8M+1.4% | $757.4M+18.3% | $689.5M+12.9% | $848.1M+41.0% | $707.6M-1.6% | ||
| $328.4M+37.3% | $288.7M-21.8% | $244.4M+71.4% | $317.4M+9.7% | $239.2M-9.8% | ||
| $529M0.0% | $550M+9.7% | $542.2M+5.6% | $539.4M+4.6% | $529M+13.2% | ||
| $955.6M-1.0% | $964.6M-22.5% | $1B-18.0% | $983.3M-19.0% | $965.3M-20.2% | ||
| —— | —— | —— | —— | —— | ||
| $955.6M-1.0% | $964.6M-22.5% | $1B-18.0% | $983.3M-19.0% | $965.3M-20.2% | ||
| $106.8M— | $102.5M— | —— | —— | —— | ||
| $1.12B+2.5% | $1.1B-22.0% | $1.02B-12.8% | $1.09B-14.5% | $1.09B-11.5% | ||
| —— | —— | —— | —— | —— | ||
| $283.5M+0.7% | $294.4M+2.4% | $293.5M-5.8% | $302.4M-2.6% | $281.6M-11.6% | ||
| $5.41B+5.5% | $5.44B+14.0% | $5.37B+12.0% | $5.23B+10.9% | $5.13B+7.8% | ||
| $291.1M-10.2% | $299.6M-10.8% | $307.1M-21.7% | $318.2M-27.2% | $324.2M— | ||
| $917.8M-5.4% | $925.2M-9.1% | $944M-9.9% | $976.9M-0.5% | $970.3M-2.9% | ||
| $1.12B+2.5% | $1.1B-22.0% | $1.02B-12.8% | $1.09B-14.5% | $1.09B-11.5% | ||
| $44.55B+9.6% | $43.79B+6.5% | $42.75B+7.0% | $42.99B+14.3% | $40.65B+13.2% | ||
| $917.8M-5.4% | $925.2M-9.1% | $944M-9.9% | $976.9M-0.5% | $970.3M-2.9% | ||
| $1.12B+2.5% | $1.1B-22.0% | $1.02B-12.8% | $1.09B-14.5% | $1.09B-11.5% | ||
| $283.7M+1.2% | $281.8M-0.5% | $283.6M-2.2% | $287.2M+118% | $280.2M+111% | ||
| $2.86B-16.6% | $3.04B+0.4% | $3.24B+10.6% | $3.37B+6.3% | $3.42B+23.0% | ||
| $118.7M-35.1% | $174.5M-70.2% | $179.4M-67.9% | $156.3M+0.3% | $182.8M+17.0% | ||
| $173.5M-79.1% | $169.8M-85.0% | $716.3M+17.2% | $699M-29.5% | $830.7M-11.4% | ||
| $182.5M+47.3% | $138.1M-36.1% | $93.6M-7.0% | $140.1M-11.8% | $123.9M-18.8% | ||
| $283.7M+1.2% | $281.8M-0.5% | $283.6M-2.2% | $287.2M+118% | $280.2M+111% | ||
| $283.7M+1.2% | $281.8M-0.5% | $283.6M-2.2% | $287.2M+118% | $280.2M+111% | ||
| $914.5M-35.2% | $673.7M-6.9% | $742.5M-13.8% | $1.18B+48.1% | $1.41B+68.7% | ||
| $1.32B+2.0% | $1.31B+3.5% | $1.31B+4.3% | $1.3B+5.2% | $1.29B+6.2% | ||
| $249.4M0.0% | $249.4M0.0% | $249.4M0.0% | $249.4M0.0% | $249.4M0.0% | ||
| $259.6M+34.3% | $225.8M-23.0% | $174M+204% | $201.6M-21.0% | $193.3M-14.3% | ||
| $259.6M+34.3% | $225.8M-23.0% | $174M+204% | $201.6M-21.0% | $193.3M-14.3% | ||
| $44.55B+9.6% | $43.79B+6.5% | $42.75B+7.0% | $42.99B+14.3% | $40.65B+13.2% | ||
| $182.5M+47.3% | $138.1M-36.1% | $93.6M-7.0% | $140.1M-11.8% | $123.9M-18.8% | ||
| $951M-36.2% | $1.03B-44.4% | $1.86B-37.7% | $2.32B-2.2% | $1.49B-41.2% | ||
| —— | —— | —— | —— | —— | ||
| $1.000.0% | $1.000.0% | $1.000.0% | $1.000.0% | $1.000.0% | ||
| 249.5M0.0% | 249.5M0.0% | 249.5M0.0% | 249.5M0.0% | 249.5M— | ||
| $733M+9.3% | $661.9M-44.6% | $579.6M-50.0% | $673.9M-43.0% | $670.4M-47.7% | ||
| —— | —— | —— | —— | —— | ||
| $328.4M+37.3% | $288.7M-21.8% | $244.4M+71.4% | $317.4M+9.7% | $239.2M-9.8% | ||
| $182.5M+47.3% | $138.1M-36.1% | $93.6M-7.0% | $140.1M-11.8% | $123.9M-18.8% | ||
| $91.3M+143% | $79.9M+29.1% | $43.3M-8.5% | $57.4M-6.8% | $37.6M-47.9% | ||
| $1.24B+6.8% | $1.27B+11.9% | $1.24B+3.2% | $1.25B+8.1% | $1.17B+1.1% | ||
| —— | —— | —— | —— | —— | ||
| $173.5M-79.1% | $169.8M-85.0% | $716.3M+17.2% | $699M-29.5% | $830.7M-11.4% | ||
| $2.5B+20.4% | $2.43B+18.5% | $2.32B+42.0% | $2.23B+40.7% | $2.08B+46.1% | ||
| $171.2M-34.6% | $163.8M-18.8% | $174.9M-2.8% | $234M+37.1% | $261.6M-0.6% | ||
| —— | —— | —— | —— | —— | ||
| —— | —— | —— | —— | —— | ||
| 26.8M-0.5% | 26.8M-0.7% | 26.9M-0.8% | 26.9M-0.9% | 26.9M-0.9% | ||
| —— | —— | —— | —— | —— |
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Compare these in charts →Questions, answered.
- What are Air Products and Chemicals's total assets?
- Air Products and Chemicals (APD) holds $41.6B in total assets, up 7.1% year over year.
- How much debt does Air Products and Chemicals have?
- Air Products and Chemicals carries $914.5M in total debt against $15.6B of shareholders' equity, a debt-to-equity ratio of 0.06.
- How much cash does Air Products and Chemicals have?
- Air Products and Chemicals holds $951.0M in cash and equivalents.
- Can Air Products and Chemicals cover its short-term obligations?
- Its current ratio is 1.43 — current assets exceed current liabilities.
- Where does Air Products and Chemicals's balance sheet data come from?
- Every line is extracted from Air Products and Chemicals's SEC filings (10-K and 10-Q) and tagged in XBRL. Switch between quarterly, annual, and trailing-twelve-month views, or open any line for its full history and peer comparisons.
