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Clarivate CLVT Balance Sheet Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$242.2M-26.4%$329.2M+3.3%$318.7M-12.1%$362.6M+2.4%$354M+19.9%
$9.9M-21.4%$12.6M+32.6%$9.5M-7.8%$10.3M-9.6%$11.4M+8.6%
$882.9M+5.9%$833.6M+2.8%$810.7M-1.2%$820.4M-1.2%$830.5M+2.0%
$109.1M+15.8%$94.2M+0.3%$93.9M+6.1%$88.5M-12.4%$101M+17.6%
$1.3B-0.7%$1.31B+1.5%$1.29B-3.7%$1.34B-1.0%$1.35B+8.8%
$50.9M-3.4%$52.7M+0.2%$52.6M-6.6%$56.3M+2.2%$55.1M
$4.3B+4,184%$100.4M-97.5%$3.97B+4.8%$3.79B+6.3%$3.56B+3,895%
$153.1M
$42.5M-8.8%$46.6M-6.8%$50M-6.0%$53.2M-3.8%$55.3M+89,193,548,287%
$1.57B0.0%$1.57B0.0%$1.57B0.0%$1.57B0.0%$1.57B0.0%
$7.71B-1.8%$7.85B-1.8%$7.99B-1.7%$8.13B-0.7%$8.18B-1.2%
$205M-3.3%$212.1M-22.7%$274.5M-3.4%$284.3M+3.1%$275.8M-67.0%
$85.8M+26.0%$68.1M-1.3%$69M-0.7%$69.5M-2.7%$71.4M-13.1%
$143.9M
$18.4M
$10.93B-1.3%$11.07B-1.4%$11.23B-1.7%$11.42B-0.6%$11.49B0.0%
$135.7M-9.9%$150.6M+7.8%$139.7M+11.1%$125.7M+4.8%$120M-3.6%
$100.6M-31.4%$146.7M+13.2%$129.6M+16.3%$111.4M+26.6%$88M-26.2%
$1B+13.9%$878.6M+0.7%$872.8M-6.1%$929.1M-5.1%$978.8M+13.9%
$1.5M-98.5%$101.5M+6,667%$1.5M+7.1%$1.4M+7.7%$1.3M0.0%
$17.6M-4.3%$18.4M-1.6%$18.7M-7.0%$20.1M-4.3%$21M+1.9%
$18.9M+11.2%$17M-7.6%$18.4M+4.0%$17.7M+1.7%$17.4M+4.8%
$1.54B-1.7%$1.57B+5.3%$1.49B+0.7%$1.48B-4.0%$1.54B+7.5%
$13.5M
$4.33B-2.2%$4.42B-1.1%$4.47B-2.2%$4.57B0.0%$4.57B0.0%
$33.7M-11.1%$37.9M-10.0%$42.1M-15.5%$49.8M-6.4%$53.2M0.0%
$27.6M-1.8%$28.1M-1.1%$28.4M-1.0%$28.7M-1.0%$29M-1.0%
$56.3M
$27.6M+3.8%$26.6M-6.3%$28.4M-1.0%$28.7M-1.0%$29M+3.6%
$75.9M-11.9%$86.2M-12.6%$98.6M+1.2%$97.4M+30.0%$74.9M+3.3%
$6.14B-1.4%$6.23B-1.5%$6.32B-1.6%$6.43B-0.6%$6.47B+1.8%
$12.8B-0.1%$12.81B-0.4%$12.87B-0.3%$12.9B-0.3%$12.94B-0.3%
-$7.55B-0.5%-$7.51B0.0%-$7.52B-0.4%-$7.49B-1.0%-$7.42B-1.4%
-$457.7M-1.0%-$453.1M-1.5%-$446.4M-6.5%-$419.2M+14.6%-$490.6M+6.8%
$4.79B-1.1%$4.84B-1.2%$4.9B-1.8%$4.99B-0.7%$5.03B-2.2%
$10.93B-1.3%$11.07B-1.4%$11.23B-1.7%$11.42B-0.6%$11.49B0.0%
$242.2M-26.4%$329.2M+3.3%$318.7M-12.1%$362.6M+2.4%$354M+19.9%
$66.9M+3.1%$64.9M-4.3%$67.8M-1.3%$68.7M-0.1%$68.8M+5.5%
$17.3M+179%$6.2M+3.3%$6M-36.2%$9.4M-16.8%$11.3M-38.6%
$85.8M+352%$19M-72.5%$69M-0.7%$69.5M-2.7%$71.4M+198%
$143.9M
$32.3M
$574.2M
$4.76B
$12.01B+0.1%$12B+0.3%$11.96B+0.4%$11.92B+1.4%$11.75B+0.7%
$12.17B+0.1%$12.16B+0.3%$12.12B+0.4%$12.07B+1.4%$11.9B+0.6%
$42.5M-8.8%$46.6M-6.8%$50M-6.0%$53.2M-3.8%$55.3M+3.2%
$16.5M-4.1%$17.2M-65.0%$49.2M-3.7%$51.1M+5.1%$48.6M+0.2%
$7.71B-1.8%$7.85B-1.8%$7.99B-1.7%$8.13B-0.7%$8.18B-1.2%
$7.86B-1.8%$8.01B-1.7%$8.15B-1.6%$8.28B-0.7%$8.34B-1.2%
$42.5M-8.8%$46.6M-6.8%$50M-6.0%$53.2M-3.8%$55.3M+3.2%
$85.8M+26.0%$68.1M-1.3%$69M-0.7%$69.5M-2.7%$71.4M-13.1%
$50.9M-3.4%$52.7M+0.2%$52.6M-6.6%$56.3M+2.2%$55.1M+3.0%
$42.5M-8.8%$46.6M-6.8%$50M-6.0%$53.2M-3.8%$55.3M+3.2%
$85.8M+26.0%$68.1M-1.3%$69M-0.7%$69.5M-2.7%$71.4M-13.1%
$1.34B
$100.6M-31.4%$146.7M+13.2%$129.6M+16.3%$111.4M+26.6%$88M-26.2%
$18.9M+11.2%$17M-7.6%$18.4M+4.0%$17.7M+1.7%$17.4M+4.8%
$100.6M-31.4%$146.7M+13.2%$129.6M+16.3%$111.4M+26.6%$88M-26.2%
$1.5M-98.5%$101.5M+6,667%$1.5M+7.1%$1.4M+7.7%$1.3M0.0%
$8.5M-51.4%$17.5M-7.4%$18.9M+6.2%$17.8M+8,800%$200K-81.8%
$40.2M
$12.1M
$3.4M
$15.3M
$7.2M
$3.4M
$8.5M
$7.2M
$3.7M
$21.3M
$64.6M
$8.3M
$5.3M-18.5%$6.5M-14.5%$7.6M+22.6%$6.2M-34.0%$9.4M+309%
$18.9M+11.2%$17M-7.6%$18.4M+4.0%$17.7M+1.7%$17.4M+4.8%
$923.1M
$2.52B
$43.7M-6.8%$46.9M-5.6%$49.7M-5.0%$52.3M+8.1%$48.4M-5.3%
$13.5M
$9.2M
$8.5M
$4.6M
$7.2M
$4.6M
$22.6M
$7.7M
$4.28B-0.9%$4.32B-2.2%$4.42B-2.2%$4.52B-0.1%$4.52B+0.1%
$286.3M+4.9%$273M-17.0%$328.8M+12.4%$292.5M-12.1%$332.8M+7.8%
$18.9M+11.2%$17M-7.6%$18.4M+4.0%$17.7M+1.7%$17.4M+4.8%
$4.41B-4.4%$4.61B+1.1%$4.56B-2.3%$4.67B-0.1%$4.68B0.0%
$38.3M
$5.3M
$0.00$0.00$0.00$0.00$0.00
639.2M-0.2%640.7M-3.1%661.4M-1.6%672.2M-1.6%683.1M-1.2%
$12.8B-0.1%$12.81B-0.4%$12.87B-0.3%$12.9B-0.3%$12.94B-0.3%
$350.5M-12.5%$400.5M-11.0%$450M-10.0%
85M
$8.5M-51.4%$17.5M-7.4%$18.9M+6.2%$17.8M+8,800%$200K-81.8%
$8.5M-51.4%$17.5M-7.4%$18.9M+6.2%$17.8M+8,800%$200K-81.8%
$242.2M-26.4%$329.2M+3.3%$318.7M-12.1%$362.6M+2.4%$354M+19.9%
$0$0$0$0$0
$639.2M-0.2%$640.7M-3.1%$661.4M-1.6%$672.2M-1.6%$683.1M-1.2%
$639.2M-0.2%$640.7M-3.1%$661.4M-1.6%$672.2M-1.6%$683.1M-1.2%
$43.7M-6.8%$46.9M-5.6%$49.7M-5.0%$52.3M+8.1%$48.4M-5.3%
$419.9M
$205M-3.3%$212.1M-22.7%$274.5M-3.4%$284.3M+3.1%$275.8M+0.9%
$1.3M
$7.9M
$422M
$1.57B
$11.3M
$225M
$938.2M
$1.3M
$18.4M
$1.34B
$194.9M
$385.6M
$25.1M
$0
$17.3M+179%$6.2M+3.3%$6M-36.2%$9.4M-16.8%$11.3M-38.6%
$8.5M-51.4%$17.5M-7.4%$18.9M+6.2%$17.8M+8,800%$200K-81.8%
$0
$1.5M
$40.2M
$22.6M
$3.4M
$3.7M
$3.6M
$3.5M
$3.4M
$12.1M
$8M
$4.3B+3.6%$4.15B+4.6%$3.97B+4.8%$3.79B+6.3%$3.56B+5.2%
$665M
$574.2M
$516.4M
$697M
$627.4M
$4.76B
$12.01B+0.1%$12B+0.3%$11.96B+0.4%$11.92B+1.4%$11.75B+0.7%
$12.17B+0.1%$12.16B+0.3%$12.12B+0.4%$12.07B+1.4%$11.9B+0.6%
$15.7M
$64.6M
$8.3M
$4.28B-0.9%$4.32B-2.2%$4.42B-2.2%$4.52B-0.1%$4.52B+0.1%
$1.5M-98.5%$101.5M+6,667%$1.5M+7.1%$1.4M+7.7%$1.3M0.0%
$1.7M
$923.1M
$2.3M
$923.5M
$2.52B
$101.5M
$99.3M
$0.07
$109.1M+15.8%$94.2M+0.3%$93.9M+6.1%$88.5M-12.4%$101M+17.6%
$5.3M-18.5%$6.5M-14.5%$7.6M+22.6%$6.2M-34.0%$9.4M+309%
$85M
$7.84B
$38.3M
$5.3M
6.9%0.0%6.9%0.0%6.9%0.0%6.9%0.0%6.9%0.0%
$0.070.0%$0.070.0%$0.070.0%$0.070.0%$0.070.0%

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Questions, answered.

What are Clarivate's total assets?
Clarivate (CLVT) holds $10.9B in total assets, down 4.9% year over year.
How much debt does Clarivate have?
Clarivate carries $4.4B in total debt against $4.8B of shareholders' equity, a debt-to-equity ratio of 0.92.
How much cash does Clarivate have?
Clarivate holds $242.2M in cash and equivalents.
Can Clarivate cover its short-term obligations?
Its current ratio is 0.84 — current liabilities exceed current assets.
Where does Clarivate's balance sheet data come from?
Every line is extracted from Clarivate'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.