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TTM Q4 '26TTM Q3 '26TTM Q2 '26TTM Q1 '26TTM Q4 '25
$3.06M+42.4%$11.32M+19.8%$32.54M+216%$409.9M+3,519%$2.15M-81.5%
-$189K-432%-$67.05K-614%-$48.93K-169%$7.86K-75.6%$56.84K+182%
$4.04M+22.6%$3.86M+14,777%$3.49M+14,034%$3.37M+14,158%$3.29M+1,240%
$398.95K+252%$300.73K+167%$385.03K+234%$103.34K-15.2%
$3.77M+2,752%$3.3M+2,232%$3.29M+2,272%$121.78K-65.7%
$3.13M+1,644%$442.06K+20.1%$873.41K+107%$479.85K-21.9%$179.26K-21.2%
$233.27K-0.4%$233.27K+3.9%$233.27K$0
$10.23M+11.2%$22.46M+122%$58.09M+426%$7.3M-40.3%$9.2M-25.3%
$270.13K+4,641%$272.17K+2,734%$298.63K+1,987%$4.57K-76.0%
$915.24K+696%$874K+243%$852.02K+241%$116.09K-52.7%
4.9%+1.3%6.1%+2.5%193,110,300%+193,110,296%3.6%0.0%
$3.54M
$4.8M+2,197%$4.92M+268,600%$208.99K+11,320%$78.89K$208.99K
$2.02M+13,625%$235.04K+1,494%$228.89K+1,452%$231.26K+1,468%$14.75K0.0%
$327.62M+137,535%$414.32M+154,758%$558.37M+186,299%$11.83M+3,463%$238.03K-34.7%
$337.85M+3,636%$436.77M+5,135%$616.46M+5,338%$9.19M-26.8%$9.04M-28.7%
$5.29M+1,472%$4.94M+2,888%$1.26M+673%$1.1M+84.1%$336.48K+231%
$615.68K+134%$623.16K+439%$1.55M+889%$89.28K-37.6%
$501.18K+45.8%$739.64K+57.7%$433.12K+10.1%$0-100%
$670K+26.7%$709.25K+423%$671.52K+404%$661.99K+405%$529K+311%
$952K
$8.64M+667%$8.57M+732%$11.25M+1,064%$8.31M+489%$1.13M+9.4%
$1.24M+822%$1.19M+612%$1.3M+558%$101.31K-55.7%
$1.77M+640%$1.95M+621%$1.81M+504%$1.96M+497%$239.19K-33.1%
$24.43M+24,009%$63.32M+47,103%$120.33M+72,089%$3.92M+1,881%$101.31K-55.7%
$33.07M+2,591%$71.89M+6,076%$131.58M+11,514%$12.23M+660%$1.23M-2.4%
$0-100%$200M0.0%$200M0.0%$200M0.0%$200M0.0%
$231.27M+366%$235.42M+375%$248.95M+403%$54.6M+10.3%$49.61M+0.2%
$73.44M+277%$129.42M+421%$235.99M+700%-$47.65M-23.5%-$41.4M-8.7%
$59K
$304.78M+3,613%$364.88M+3,867%$484.89M+4,652%$7.81M-28.6%$8.21M-28.1%
$337.85M+3,480%$436.77M+4,115%$616.46M+5,338%$19.13M+52.4%$9.44M-25.6%
$600K$92.94K
$11.32M+19.8%$32.54M+216%$11.46M+1.1%$8.71M-24.9%
$306.52K+39.5%$108.99K-52.5%$304.6K+32.2%$204.84K-11.3%
$235.04K+1,494%$228.89K+1,452%$231.26K+1,468%$14.75K0.0%
$1.89M+669%$1.82M+566%$1.93M+541%$216.89K-34.0%
$4.8M+262,195%$4.92M+268,600%$4.91M+268,144%$5.15M$1.83K
$1.89M+669%$1.82M+566%$1.93M+541%$216.89K-34.0%
$1.19M+882%$1.15M+333%$1.15M+335%$120.65K-54.4%
$1.89M+669%$1.82M+566%$1.93M+541%$216.89K-34.0%
$615.68K+134%$623.16K+439%$1.55M+889%$89.28K-37.6%
$5.29M+927%$6.28M+1,041%$5.51M+1,412%$2.99M+237%$514.96K+42.3%
$615.68K+134%$623.16K+439%$1.55M+889%$89.28K-37.6%
$208.97K
$502.66K+268%$486.2K+256%$461.84K+238%$136.47K0.0%
$185.9K+36.2%$165.04K+20.9%$141K+3.3%$136.47K0.0%
$752.58K+468%$710.75K+436%$677.23K+411%$136.47K+3.0%
$2.18M+679%$2.26M+623%$2.3M+567%$247.67K-34.4%
$238.88K+2,105%$453.41K+3,269%$339.4K+1,975%$8.48K-56.5%
$2.52M+955%$1.95M+621%$5.81M+1,838%$5.96M+1,713%$239.19K-33.1%
$0.000.0%$0.000.0%$0.000.0%$0.000.0%
43.7M+5,407%45.3M+5,625%860.5K+8.7%802.3K-90.2%
$0-100%$437+5,363%$454+5,575%$9+12.5%$8-90.2%
4.6M+639%4.6M+637%616.3K-3.0%616.3K-91.9%
$1.19M+882%$1.15M+333%$1.15M+335%$120.65K-54.4%
$600K$92.94K
$11.32M+19.8%$32.54M+216%$11.46M+1.1%$8.71M-24.9%
$100K-60.0%$250K0.0%$250K0.0%$250K0.0%
$10M+8.7%$31.26M+211%$153K$8.46M
$2.22-96.3%$2.22-96.3%$60.08-2.7%$60.08+1,069%
$00.0%$00.0%$00.0%$00.0%
$200M0.0%$200M0.0%$200M0.0%$200M0.0%
$43.67M+5,407%$45.32M+5,625%$860.46K+8.7%$802.35K-90.2%
$43.67M+5,407%$45.32M+5,625%$860.46K+8.7%$802.35K-90.2%
$398.95K+252%$300.73K+167%$385.03K+234%$103.34K-15.2%
$2.18M+679%$2.26M+623%$2.3M+567%$247.67K-34.4%
$238.88K+2,105%$453.41K+3,269%$339.4K+1,975%$8.48K-56.5%
$0.040.0%
$499.05K+647%$3.37M+11,004%$56.88K+216%$36.32K+128%
$500K$525.03K
$4.55M+639%$4.55M+637%$616.34K-3.0%$616.34K-91.9%
$208.97K

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Questions, answered.

What are CEA Industries Inc. Common Stock's total assets?
CEA Industries Inc. Common Stock (BNC) holds $337.8M in total assets, up 3635.6% year over year.
How much debt does CEA Industries Inc. Common Stock have?
CEA Industries Inc. Common Stock carries $2.5M in total debt against $304.8M of shareholders' equity, a debt-to-equity ratio of 0.01.
How much cash does CEA Industries Inc. Common Stock have?
CEA Industries Inc. Common Stock holds $3.1M in cash and equivalents.
Can CEA Industries Inc. Common Stock cover its short-term obligations?
Its current ratio is 1.18 — current assets exceed current liabilities.
Where does CEA Industries Inc. Common Stock's balance sheet data come from?
Every line is extracted from CEA Industries Inc. Common Stock'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.