Cabot Corporation CBT Balance Sheet Statement
| FY'25 | FY'24 | FY'23 | FY'22 | ||
|---|---|---|---|---|---|
| $258M+15.7% | $223M-6.3% | $238M+15.5% | $206M+22.6% | ||
| $671M-8.5% | $733M+5.5% | $695M-16.9% | $836M+29.6% | ||
| $504M-8.7% | $552M-5.6% | $585M-11.9% | $664M+27.0% | ||
| $1.54B-4.1% | $1.61B-1.3% | $1.63B-10.7% | $1.82B+27.7% | ||
| $1.71B+11.5% | $1.53B+8.6% | $1.41B+11.2% | $1.27B-7.7% | ||
| $134M+0.8% | $133M-0.7% | $134M+3.9% | $129M-7.9% | ||
| $55M+3.8% | $53M-11.7% | $60M-4.8% | $63M-37.0% | ||
| $3.82B+2.1% | $3.74B+3.7% | $3.6B+2.2% | $3.53B+6.6% | ||
| $648M-4.1% | $676M+12.7% | $600M-15.1% | $707M+6.0% | ||
| $14M-68.9% | $45M-74.1% | $174M-49.9% | $347M+382% | ||
| $14M-68.9% | $45M-74.1% | $174M-49.9% | $347M+382% | ||
| $957M+24.0% | $772M-6.1% | $822M-25.6% | $1.11B-3.7% | ||
| $856M-21.3% | $1.09B-0.6% | $1.09B+0.5% | $1.09B+51.9% | ||
| $53M-1.9% | $54M-1.8% | $55M-1.8% | $56M-1.8% | ||
| $1.84B+5.8% | $1.73B+10.2% | $1.57B+22.6% | $1.28B+10.8% | ||
| $1.55B+8.8% | $1.43B+12.7% | $1.26B+40.8% | $898M-5.2% | ||
| $3.82B+2.1% | $3.74B+3.7% | $3.6B+2.2% | $3.53B+6.6% |
Chart any of these lines over time, or line them up against competitors.
Compare these in charts →Questions, answered.
- What are Cabot Corporation's total assets?
- Cabot Corporation (CBT) holds $3.9B in total assets, up 3.0% year over year.
- How much debt does Cabot Corporation have?
- Cabot Corporation carries $1.0B in total debt against $1.6B of shareholders' equity, a debt-to-equity ratio of 0.66.
- How much cash does Cabot Corporation have?
- Cabot Corporation holds $252.0M in cash and equivalents.
- Can Cabot Corporation cover its short-term obligations?
- Its current ratio is 1.45 — current assets exceed current liabilities.
- Where does Cabot Corporation's balance sheet data come from?
- Every line is extracted from Cabot Corporation'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.
