Darling Ingredients Inc. DAR Balance Sheet Statement
| Q1 '26 | Q4 '25 | Q3 '25 | Q2 '25 | Q1 '25 | ||
|---|---|---|---|---|---|---|
| $116.02M+42.4% | $88.67M+16.7% | $91.49M-20.3% | $94.58M-22.2% | $81.47M-44.0% | ||
| $22.22M-44.3% | $16.69M-55.6% | $15.56M-60.5% | $27.5M+4.6% | $39.87M+876% | ||
| -$7.51M-2,062% | $52.85M— | $4.38M+133% | -$7.53M+76.0% | $383K+100% | ||
| $577.57M-3.0% | $527.74M-8.5% | $622.32M+0.7% | $605.33M-3.6% | $595.41M-13.4% | ||
| $96.96M+7.8% | $85.18M+4.8% | $89.03M+5.2% | $80.35M-9.4% | $89.92M-7.9% | ||
| $6.98M-72.2% | $8.28M-76.4% | $22.85M-43.1% | $24.05M-29.7% | $25.08M-22.7% | ||
| $128.04M— | $143.48M— | —— | —— | —— | ||
| $1.65B+13.2% | $1.55B+7.9% | $1.5B+0.4% | $1.5B-0.8% | $1.45B-10.2% | ||
| $2.79B+1.7% | $2.8B+3.0% | $2.79B-2.5% | $2.79B-1.9% | $2.74B-5.9% | ||
| $220.71M+1.3% | $223.71M+6.2% | $232.34M+8.8% | $232.6M+10.7% | $217.93M+0.9% | ||
| $2.49B+4.1% | $2.46B+5.9% | $2.5B+1.8% | $2.48B+2.5% | $2.39B-4.4% | ||
| $832.11M-7.3% | $845M-5.9% | $881.45M-9.8% | $898.82M-9.4% | $898.05M-15.0% | ||
| $269.87M-6.8% | $240.56M-17.9% | $270.89M-27.7% | $283.34M-29.3% | $289.43M-37.7% | ||
| $194.96M-4.0% | $190.18M-4.7% | $209.77M-5.6% | $205.28M-6.2% | $203.15M-17.6% | ||
| $2.44B+15.8% | $2.21B-2.5% | $2.32B-0.3% | $2.16B-10.5% | $2.11B-11.2% | ||
| $10.64B+6.1% | $10.3B+2.3% | $10.45B-1.1% | $10.27B-3.3% | $10.03B-8.3% | ||
| $356.21M+2.2% | $371.08M+6.4% | $374.8M+13.0% | $365.74M+4.6% | $348.48M+1.5% | ||
| $504.7M+2.5% | $485.5M-0.8% | $475.49M-12.3% | $497.99M+10.6% | $492.25M+9.5% | ||
| $75.1M-35.6% | $75.22M-43.5% | $76.91M-32.7% | $51.64M-44.0% | $116.63M+13.1% | ||
| $62.76M-1.7% | $61.75M-1.6% | $67.24M+12.8% | $66.63M+15.3% | $63.84M+7.3% | ||
| $23.3M— | $25.09M— | —— | —— | —— | ||
| $17.69M+21.5% | $16.02M+64.7% | $15.51M+3.3% | $14.7M+10.5% | $14.56M+24.9% | ||
| $1.04B+0.4% | $1.03B-0.8% | $1.01B-4.9% | $996.7M+3.5% | $1.04B+7.1% | ||
| $4.05B+6.5% | $3.86B-1.2% | $4.03B-2.5% | $3.93B-9.0% | $3.8B-12.8% | ||
| $158.46M0.0% | $162.36M+6.6% | $169.45M+6.9% | $169.8M+8.5% | $158.4M-1.8% | ||
| $3.7M-32.7% | $5.79M-38.1% | $4.6M-30.3% | $5M-30.6% | $5.5M-28.6% | ||
| $3.7M-32.7% | $5.79M-38.1% | $4.6M-30.3% | $5M-30.6% | $5.5M-28.6% | ||
| $178M-14.3% | $189.45M-9.1% | $206.19M-2.3% | $203.61M-15.3% | $207.8M-31.6% | ||
| $5.7B+3.6% | $5.49B-2.1% | $5.68B-4.3% | $5.58B-8.2% | $5.5B-12.2% | ||
| $1.77M+0.7% | $1.76M+0.3% | $1.76M+0.3% | $1.76M+0.4% | $1.76M+0.4% | ||
| $1.73B+0.6% | $1.72B-0.1% | $1.73B+0.5% | $1.73B+0.3% | $1.72B+0.6% | ||
| $4.21B+5.6% | $4.07B+1.6% | $4.02B+2.8% | $4B+2.7% | $3.99B+4.5% | ||
| -$322.41M+40.7% | -$339.19M+50.4% | -$344.74M+17.5% | -$396.26M+19.2% | -$543.75M-82.2% | ||
| $746.11M+3.8% | $719.28M+6.9% | $718.93M+7.7% | $718.92M+7.9% | $718.75M+12.8% | ||
| $68.15M-22.0% | $72.6M-16.0% | $80.29M-3.1% | $79.77M-2.3% | $87.34M-2.8% | ||
| $4.88B+9.6% | $4.74B+8.2% | $4.69B+3.0% | $4.61B+3.4% | $4.45B-3.2% | ||
| $10.64B+6.1% | $10.3B+2.3% | $10.45B-1.1% | $10.27B-3.3% | $10.03B-8.3% | ||
| $61.04M+136% | $40.13M-4.7% | $40.2M+70.6% | $48.32M+51.3% | $25.85M-8.5% | ||
| $194.96M-4.0% | $190.18M-4.7% | $209.77M-5.6% | $205.28M-6.2% | $203.15M-17.6% | ||
| $220.71M+1.3% | $223.71M+6.2% | $232.34M+8.8% | $232.6M+10.7% | $217.93M+0.9% | ||
| $28.26M+55.5% | $24.54M+9.7% | $15.8M-15.1% | $16.24M-5.5% | $18.17M+9.7% | ||
| $832.11M-7.3% | $845M-5.9% | $881.45M-9.8% | $898.82M-9.4% | $898.05M-15.0% | ||
| $220.71M+1.3% | $223.71M+6.2% | $232.34M+8.8% | $232.6M+10.7% | $217.93M+0.9% | ||
| $194.96M-4.0% | $190.18M-4.7% | $209.77M-5.6% | $205.28M-6.2% | $203.15M-17.6% | ||
| $220.71M+1.3% | $223.71M+6.2% | $232.34M+8.8% | $232.6M+10.7% | $217.93M+0.9% | ||
| $194.96M-4.0% | $190.18M-4.7% | $209.77M-5.6% | $205.28M-6.2% | $203.15M-17.6% | ||
| $504.7M+2.5% | $485.5M-0.8% | $475.49M-12.3% | $497.99M+10.6% | $492.25M+9.5% | ||
| —— | $16.02M+64.7% | —— | —— | —— | ||
| $504.7M+2.5% | $485.5M-0.8% | $475.49M-12.3% | $497.99M+10.6% | $492.25M+9.5% | ||
| $75.1M-35.6% | $75.22M-43.5% | $76.91M-32.7% | $51.64M-44.0% | $116.63M+13.1% | ||
| $4.05B+6.5% | $3.86B-1.2% | $4.03B-2.5% | $3.93B-9.0% | $3.8B-12.8% | ||
| $4.35B+4.9% | $4.17B-2.3% | $4.34B-2.8% | $4.22B-8.8% | $4.15B-11.6% | ||
| $1.77M+0.7% | $1.76M+0.3% | $1.76M+0.3% | $1.76M+0.4% | $1.76M+0.4% | ||
| $746.11M+3.8% | $719.28M+6.9% | $718.93M+7.7% | $718.92M+7.9% | $718.75M+12.8% | ||
| $269.87M-6.8% | $240.56M-17.9% | $270.89M-27.7% | $283.34M-29.3% | $289.43M-37.7% | ||
| $2.44B+15.8% | $2.21B-2.5% | $2.32B-0.3% | $2.16B-10.5% | $2.11B-11.2% | ||
| $6.98M-72.2% | $8.28M-76.4% | $22.85M-43.1% | $24.05M-29.7% | $25.08M-22.7% | ||
| $4.05B+6.5% | $3.86B-1.2% | $4.03B-2.5% | $3.93B-9.0% | $3.8B-12.8% | ||
| $75.1M-35.6% | $75.22M-43.5% | $76.91M-32.7% | $51.64M-44.0% | $116.63M+13.1% | ||
| $68.15M-22.0% | $72.6M-16.0% | $80.29M-3.1% | $79.77M-2.3% | $87.34M-2.8% | ||
| $96.96M+7.8% | $85.18M+4.8% | $89.03M+5.2% | $80.35M-9.4% | $89.92M-7.9% |
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Compare these in charts →Questions, answered.
- What are Darling Ingredients Inc.'s total assets?
- Darling Ingredients Inc. (DAR) holds $10.6B in total assets, up 6.1% year over year.
- How much debt does Darling Ingredients Inc. have?
- Darling Ingredients Inc. carries $4.4B in total debt against $4.9B of shareholders' equity, a debt-to-equity ratio of 0.89.
- How much cash does Darling Ingredients Inc. have?
- Darling Ingredients Inc. holds $116.0M in cash and equivalents.
- Can Darling Ingredients Inc. cover its short-term obligations?
- Its current ratio is 1.58 — current assets exceed current liabilities.
- Where does Darling Ingredients Inc.'s balance sheet data come from?
- Every line is extracted from Darling Ingredients Inc.'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.
