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Claritev Corporation CTEV Balance Sheet Statement

FY'25FY'24FY'23FY'22
$28.34M-4.5%$29.67M-63.6%$81.49M-76.1%$340.56M+80.8%
$11.53M-10.1%$12.82M+28.9%$9.95M+52.7%$6.51M+113%
$471.65M+40.5%$335.75M+18.7%$282.83M-12.6%$323.44M+14.8%
$107.17M+25.5%$85.38M+4.5%$81.67M+10.3%$74.02M-1.0%
$11.53M+70.8%$6.75M+395%$1.36M+1.0%$1.35M-73.3%
$224.37M+27.8%$175.52M-9.3%$193.59M-56.7%$446.74M+39.9%
$326.33M+11.5%$292.65M+9.4%$267.43M+14.9%$232.84M+9.2%
$3.24B+11.9%$2.89B+13.5%$2.55B
$13.97M-13.2%$16.1M-18.2%$19.68M-18.8%$24.24M-19.5%
$2.41B+0.1%$2.4B-37.2%$3.83B+3.3%$3.71B-15.1%
$1.88B-15.3%$2.23B-15.5%$2.63B-10.4%$2.94B-10.5%
$941.89M-41.1%$1.6B-30.7%$2.31B-13.4%$2.67B-15.3%
$33.34M-10.1%$37.1M+70.4%$21.78M-0.5%$21.9M+126%
$4.89B-5.1%$5.15B-26.0%$6.96B-5.5%$7.37B-10.3%
$60.46M-30.0%$86.33M+341%$19.59M+47.3%$13.3M+2.2%
$36.25M+75.9%$20.61M+33.5%$15.44M-6.2%$16.46M-8.6%
$45.24M+34.3%$33.69M-24.7%$44.72M+29.4%$34.57M+36.0%
$14.69M+10.9%$13.25M0.0%$13.25M0.0%$13.25M0.0%
$4.71M+7.3%$4.39M-8.5%$4.79M-24.7%$6.36M-7.6%
$100.01M+80.1%$55.53M-2.3%$56.83M-2.0%$57.98M+4.1%
$261.36M+22.2%$213.79M+28.2%$166.74M-5.2%$175.84M+23.9%
$4.56B+1.1%$4.51B-0.5%$4.53B-4.4%$4.74B-2.8%
$16.24M+17.2%$13.86M-19.1%$17.12M-18.0%$20.89M-21.8%
$20.94M+14.8%$18.24M-16.8%$21.92M-19.6%$27.26M-18.9%
$183K+123%$82K+447%$15K-66.7%$45K-36.6%
$5.06B-0.2%$5.07B-3.6%$5.26B-5.8%$5.58B-5.0%
$0$0$0$0
$2K0.0%$2K0.0%$2K-97.0%$67K0.0%
$2.4B+1.1%$2.37B+1.0%$2.35B+0.8%$2.33B+0.8%
-$2.43B-13.3%-$2.15B-330%-$499.31M-43.6%-$347.8M-255%
-$4.17M+17.6%-$5.06M+57.0%-$11.78M$0
$138.73M0.0%$138.73M+8.1%$128.36M-33.2%$192.17M0.0%
$6.73M$0
-$173.9M-307%$84.02M-95.1%$1.71B-4.5%$1.79B-23.6%
$4.89B-5.1%$5.15B-26.0%$6.96B-5.5%$7.37B-10.3%
$14.33M+105%$7M+175%$2.55M-30.7%$3.68M+268%
$10.56M-51.7%$21.85M
$2.08B0.0%$2.08B0.0%$2.08B
$33.34M-10.1%$37.1M+70.4%$21.78M-0.5%$21.9M+126%
$5.12B0.0%$5.12B
$13.97M-13.2%$16.1M-18.2%$19.68M-18.8%$24.24M-19.5%
$1.88B-15.3%$2.23B
$1.88B-15.3%$2.23B-15.5%$2.63B-10.4%$2.94B-10.5%
$13.97M-13.2%$16.1M-18.2%$19.68M-18.8%$24.24M-19.5%
$33.34M-10.1%$37.1M+70.4%$21.78M-0.5%$21.9M+126%
$326.33M+11.5%$292.65M+9.4%$267.43M+14.9%$232.84M+9.2%
$13.97M-13.2%$16.1M-18.2%$19.68M-18.8%$24.24M-19.5%
$33.34M-10.1%$37.1M+70.4%$21.78M-0.5%$21.9M+126%
$36.25M+75.9%$20.61M
$4.4M+37.5%$3.2M+77.8%$1.8M0.0%$1.8M0.0%
$36.25M+75.9%$20.61M
$18.57M-12.7%$21.28M-17.8%$25.88M-20.2%$32.44M-16.4%
$4.56B+1.1%$4.51B-0.5%$4.53B-4.4%$4.74B-2.8%
$4.6B+1.2%$4.54B-0.6%$4.57B-4.5%$4.78B-2.9%
$0.000.0%$0.000.0%$0.000.0%$0.000.0%
17.3M+2.2%16.9M+1.4%16.7M-97.5%666.3M+0.1%
10M0.0%10M0.0%10M0.0%10M0.0%
0000
$2.08B0.0%$2.08B0.0%$2.08B
$0$0$0$0
$0.000.0%$0.000.0%$0.000.0%$0.000.0%
$00.0%$00.0%$00.0%$00.0%
$1.5B0.0%$1.5B0.0%$1.5B0.0%$1.5B0.0%
$17.3M+2.2%$16.93M+1.4%$16.7M-97.5%$666.29M+0.1%
$16.55M+2.3%$16.19M-0.1%$16.21M-97.5%$639.17M+0.1%
$18.72M
$197.6M-39.4%$325.83M-37.5%$521.71M-18.4%$639.5M-15.2%
$3.24B+11.9%$2.89B+13.5%$2.55B
$5.12B0.0%$5.12B
$4.49B+0.1%$4.49B0.0%$4.49B
$2.08B0.0%$2.08B0.0%$2.08B
$4.4M+37.5%$3.2M+77.8%$1.8M0.0%$1.8M0.0%
$4.56B+1.1%$4.51B-0.5%$4.53B-4.4%$4.74B-2.8%
$4.61B+1.0%$4.57B
$6.73M$0
$36.25M+75.9%$20.61M+33.5%$15.44M-6.2%$16.46M-8.6%
$00.0%$00.0%$00.0%$00.0%
$10M0.0%$10M0.0%$10M0.0%$10M0.0%
$0$0$0$0
$20M$0
$742.86K0.0%$742.86K+52.5%$487.22K-98.2%$27.12M

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Questions, answered.

What are Claritev Corporation's total assets?
Claritev Corporation (CTEV) holds $4.8B in total assets, down 4.8% year over year.
How much debt does Claritev Corporation have?
Claritev Corporation carries $4.7B in total debt against -$241.1M of shareholders' equity, a debt-to-equity ratio of 310.85.
How much cash does Claritev Corporation have?
Claritev Corporation holds $34.7M in cash and equivalents.
Can Claritev Corporation cover its short-term obligations?
Its current ratio is 1.28 — current assets exceed current liabilities.
Where does Claritev Corporation's balance sheet data come from?
Every line is extracted from Claritev 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.