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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$57.2M+9.8%$44.26M-50.2%$49.91M+40.8%$46.27M-65.2%$52.08M-14.5%
$97.94M+42.7%$96.84M+8.5%$92.11M-30.7%$88.19M-38.2%$68.63M-66.4%
$1.89M+62.1%$1.91M+28.8%$1.16M-23.1%$1.16M+3.9%$1.16M+4.7%
$49.56M+12.2%$49.97M+3.8%$48.23M+11.2%$51.77M+14.9%$44.16M+12.4%
$18.2M-2.0%$15.35M+4.8%$17.72M-15.7%$14.72M-40.4%$18.58M-36.5%
$229.99M+19.4%$214.36M-14.7%$215.95M-11.3%$209.66M-41.1%$192.68M-43.9%
$16.22M+99.5%$13.98M+53.2%$11.2M+19.4%$8.98M-9.9%$8.13M-18.6%
$6.7M-10.1%$7.09M+256%$7.47M+228%$7.11M+95.1%$7.45M+85.1%
$51.93M0.0%$51.93M0.0%$51.93M0.0%$51.93M0.0%$51.93M-0.3%
$9.76M-44.0%$11.29M-34.8%$13.01M-34.0%$14.91M-32.7%$17.43M-29.1%
$2.86M-34.8%$3.47M-37.7%$3.73M$4.14M$4.38M
$324.26M+13.3%$308.79M-9.3%$309.47M-7.7%$302.53M-33.1%$286.29M-35.3%
$8.54M+9.2%$9.87M+40.6%$9.53M+16.9%$8.78M+31.2%$7.82M+10.7%
$28.75M+36.9%$28.34M-1.5%$26.26M-0.7%$28.54M+22.5%$21.01M+5.9%
$68.84M+41.5%$59.58M+27.9%$59.18M+27.7%$55.74M+31.4%$48.66M+39.8%
$1.76M-12.4%$1.58M-35.4%$1.54M-46.6%$1.77M-27.1%$2.01M-19.0%
$4.04M$4.04M
$116.44M+41.6%$108.19M+22.9%$100.99M+16.6%$98.28M+24.7%$82.25M+21.1%
$6.58M-6.0%$6.89M+310%$7.05M+241%$6.71M+4.9%$6.99M-0.3%
$0$0$0$0$0
$8.33M-7.4%$8.47M+106%$8.59M+73.4%$8.48M-3.9%$9M-5.2%
$0$0$0$0$0
$1.61M+36.6%$1.35M+75.4%$1.29M+72.2%$1.23M+75.4%$1.18M+88.6%
$277.38M+11.7%$269.44M-12.2%$266.63M-12.9%$263.77M-38.1%$248.21M-40.3%
$7K0.0%$7K0.0%$7K0.0%$7K0.0%$7K0.0%
$684.19M+3.7%$680.15M+3.9%$675.29M+4.2%$669.07M+4.8%$659.99M+5.1%
-$637.3M-2.5%-$641.03M-3.1%-$632.67M-2.2%-$630.42M-3.0%-$622.04M-3.5%
-$14K-111%$224K+54.5%$209K-45.0%$114K+164%$124K+229%
$46.88M+23.1%$39.35M+17.9%$42.84M+47.8%$38.77M+48.5%$38.08M+41.4%
$324.26M+13.3%$308.79M-9.3%$309.47M-7.7%$302.53M-33.1%$286.29M-35.3%
$5.21M-35.4%$6.05M-31.5%$6.81M$7.56M$8.07M
$5.21M-35.4%$6.05M-31.5%$6.81M$7.56M$8.07M
$97.94M+42.7%$96.84M+8.5%$92.11M-30.7%$88.19M-38.2%$68.63M-66.4%
$6.7M-10.1%$7.09M+256%$7.47M+228%$7.11M+95.1%$7.45M+85.1%
$2.86M-34.8%$3.47M-37.7%$3.73M$4.14M$4.38M
$9.76M-44.0%$11.29M-34.8%$13.01M-34.0%$14.91M-32.7%$17.43M-29.1%
$6.7M-10.1%$7.09M+256%$7.47M+228%$7.11M+95.1%$7.45M+85.1%
$6.7M-10.1%$7.09M+256%$7.47M+228%$7.11M+95.1%$7.45M+85.1%
$6.81M+58.5%$6.68M+112%$6.18M$5.8M$4.3M
$4.5M+63.2%$4.79M+49.9%$4.49M+61.9%$3.46M-3.7%$2.76M-14.1%
$4.5M+63.2%$4.79M+49.9%$4.49M+61.9%$3.46M-3.7%$2.76M-14.1%
$4.04M$4.04M
$68.84M+41.5%$59.58M+27.9%$59.18M+27.7%$55.74M+31.4%$48.66M+39.8%
$28.75M+36.9%$28.34M-1.5%$26.26M-0.7%$28.54M+22.5%$21.01M+5.9%
$153.01M-29.3%$157.3M-27.4%$157.55M$157.79M
$12.37M+37.5%$12.51M+204%$8.59M+73.4%$8.48M-97.6%$9M-97.4%
$684.19M+3.7%$680.15M+3.9%$675.29M+4.2%$669.07M+4.8%$659.99M+5.1%
$7K0.0%$7K0.0%$7K0.0%$7K0.0%$7K0.0%

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Questions, answered.

What are Commerce.com, Inc. Series 1 Common Stock's total assets?
Commerce.com, Inc. Series 1 Common Stock (CMRC) holds $324.3M in total assets, up 13.3% year over year.
How much debt does Commerce.com, Inc. Series 1 Common Stock have?
Commerce.com, Inc. Series 1 Common Stock carries $12.4M in total debt against $46.9M of shareholders' equity, a debt-to-equity ratio of 0.26.
How much cash does Commerce.com, Inc. Series 1 Common Stock have?
Commerce.com, Inc. Series 1 Common Stock holds $57.2M in cash and equivalents.
Can Commerce.com, Inc. Series 1 Common Stock cover its short-term obligations?
Its current ratio is 1.98 — current assets exceed current liabilities.
Where does Commerce.com, Inc. Series 1 Common Stock's balance sheet data come from?
Every line is extracted from Commerce.com, Inc. Series 1 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.