Dave, Inc. DAVE Balance Sheet Statement
| FY'25 | FY'24 | FY'23 | FY'22 | ||
|---|---|---|---|---|---|
| $80.52M+62.0% | $49.72M+19.1% | $41.76M+82.4% | $22.89M+28,588% | ||
| $40.79M+0.8% | $40.47M-64.3% | $113.23M-32.9% | $168.79M— | ||
| $1.84M+11.0% | $1.66M+25.8% | $1.32M+67.4% | $788K+117% | ||
| $297.31M+69.1% | $175.86M+55.8% | $112.85M+8.3% | $104.18M+113% | ||
| $18.08M+12.1% | $16.13M+103% | $7.96M-31.4% | $11.59M+161% | ||
| $436.7M+54.7% | $282.27M+1.9% | $276.89M-10.3% | $308.57M+208% | ||
| $474K-32.7% | $704K-37.0% | $1.12M+9.0% | $1.03M+49.8% | ||
| $195K-61.5% | $507K-34.4% | $773K+5.2% | $735K-72.8% | ||
| $13.67M+0.2% | $13.64M+3.3% | $13.21M+29.9% | $10.16M+29.5% | ||
| $34.19M— | $0— | —— | —— | ||
| $357K-6.1% | $380K-5.7% | $403K+194% | $137K— | ||
| $487.42M+62.8% | $299.33M+1.8% | $294.02M-8.5% | $321.49M+118% | ||
| $30.25M-10.9% | $33.94M+33.6% | $25.4M-58.2% | $60.72M+218% | ||
| $8.04M+94.6% | $4.13M+6.9% | $3.87M-10.3% | $4.31M+274% | ||
| $63K-82.0% | $350K+17.4% | $298K+9.2% | $273K-85.8% | ||
| —— | —— | —— | —— | ||
| $114M+225% | $35.06M+36.9% | $25.6M-29.7% | $36.42M-46.9% | ||
| $141K-30.9% | $204K-62.4% | $543K-1.3% | $550K-43.3% | ||
| $4.48M+47.6% | $3.03M+2,251% | $129K+4.0% | $124K+4.2% | ||
| $134.69M+15.9% | $116.23M-43.8% | $206.96M-3.7% | $214.93M+98.2% | ||
| $0— | $0— | $0— | $0— | ||
| $352.66M+5.2% | $335.33M+13.0% | $296.73M+9.9% | $270.04M+211% | ||
| $43.42M+128% | -$152.45M+27.5% | -$210.32M-30.0% | -$161.8M-392% | ||
| $374K+69.2% | $221K-65.9% | $649K+139% | -$1.68M— | ||
| $43.73M— | $0— | —— | $0-100% | ||
| $352.73M+92.6% | $183.1M+110% | $87.06M-18.3% | $106.56M+175% | ||
| $487.42M+62.8% | $299.33M+1.8% | $294.02M-8.5% | $321.49M+118% | ||
| $40.79M+0.8% | $40.47M-64.3% | $113.23M-32.9% | $168.79M— | ||
| $297.31M+69.1% | $175.86M+55.8% | $112.85M+8.3% | $104.18M+113% | ||
| $357K-6.1% | $380K-5.7% | $403K+194% | $137K— | ||
| $195K-61.5% | $507K-34.4% | $773K+5.2% | $735K-72.8% | ||
| $34.19M— | $0— | —— | —— | ||
| $13.67M+0.2% | $13.64M+3.3% | $13.21M+29.9% | $10.16M+29.5% | ||
| $195K-61.5% | $507K-34.4% | $773K+5.2% | $735K-72.8% | ||
| $357K-6.1% | $380K-5.7% | $403K+194% | $137K— | ||
| $195K-61.5% | $507K-34.4% | $773K+5.2% | $735K-72.8% | ||
| $357K-6.1% | $380K-5.7% | $403K+194% | $137K— | ||
| $13.05M-21.9% | $16.71M+32.3% | $12.63M+15.1% | $10.97M-15.9% | ||
| $1.65M— | —— | —— | —— | ||
| $13.05M-21.9% | $16.71M+32.3% | $12.63M+15.1% | $10.97M-15.9% | ||
| $75M— | $0— | —— | —— | ||
| $8.04M+94.6% | $4.13M+6.9% | $3.87M-10.3% | $4.31M+274% | ||
| $75M— | $0— | —— | —— | ||
| $0— | —— | —— | —— | ||
| $204K-99.7% | $75.55M-0.4% | $75.84M0.0% | $75.82M+96.5% | ||
| $0— | $0— | $0— | $0— | ||
| $0— | —— | —— | —— | ||
| $16.08M+449% | $2.93M+1,157% | $233K-54.8% | $516K— |
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- Can Dave, Inc. cover its short-term obligations?
- Its current ratio is 3.86 — current assets exceed current liabilities.
- Where does Dave, Inc.'s balance sheet data come from?
- Every line is extracted from Dave, 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.