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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$12.26M+29.1%$34.95M+387%$62.94M+756%$13.26M+863%$9.49M+627%
$29K-17.1%$27K-10.0%$28K-65.0%$33K-94.3%$35K-96.1%
$273K-58.9%$257K$589K$645K$664K+9,386%
$5.45M-79.9%$5.69M$11.25M-58.8%$23.1M-19.6%$27.12M-7.8%
$5.46M-79.6%$8.36M-69.5%$11.25M-58.6%$22.54M-21.5%$26.77M-7.1%
$243K+59.9%$395K+759%$182K+71.7%$365K+2,333%$152K-49.5%
$1.22M+513%$199K$199K$199K$199K-36.2%
$5.65M+40.4%$7.12M+16.2%$10.92M+74.6%$4.73M+16.3%$4.02M-75.8%
$41.9M-45.2%$68.52M-4.7%$90.03M+13.0%$76.57M+9.3%$76.47M-7.6%
$146.93M-55.7%$155.3M-55.4%$164.61M-54.3%$314.98M-16.5%$331.47M-16.6%
$12M+50.0%$12M+73.9%$11.7M$11.3M$8M
$68.95M-49.7%$61.24M-48.9%$54.11M-47.4%$156.72M+84.6%$137.04M+104%
$14.86M+1,130%$4.95M+181%$5.88M+3,866,447,268%$6.75M+4,440,131,479%$1.21M-92.3%
$23.69M$25.76M$27.78M
$4.65M$4.64M+345%$3.29M
$1.92M+53.7%$1.85M-13.3%$1.48M-83.5%$1.41M-83.8%$1.25M-84.9%
$250.14M-39.1%$277.86M-34.7%$315.58M-29.7%$399.72M-12.7%$410.58M-17.9%
$53.37M-24.5%$57.28M-19.8%$61.88M-24.0%$67.37M-26.1%$70.7M-26.8%
$22.04M-23.6%$22.43M-60.5%$34.06M+29.6%$30.62M+21.4%$28.86M+5.9%
$1.01M+25.2%$951K+25.0%$899K$850K$803K
$1.58M+16.1%$1.44M-32.2%$2.11M-20.2%$2.76M-4.8%$1.36M-56.5%
$1.01M+25.2%$951K+25.0%$899K$850K$803K
$117.91M-37.5%$148.17M-23.1%$211.21M-14.8%$222.56M-17.0%$188.78M-26.5%
$12.17M+121,550%$3.47M+24,693%$3.65M-68.9%$3.86M-69.8%$10K-99.9%
$47.71M+17.8%$46.87M+21.1%$45.63M$44.45M$40.49M
$2.12M+97.0%$2.04M+58.7%$1.74M+21.6%$1.1M-21.7%$1.08M-19.7%
$230.9M-14.7%$270.1M-13.0%$355.12M+21.5%$339.87M+9.9%$270.78M-9.3%
$0$0$0$0$0
232.5M+123%124.8M104.2M+2,600%
$4.73B+6.1%$4.67B+5.7%$4.59B+5.6%$4.5B+5.7%$4.46B+6.1%
-$4.74B-9.7%-$4.71B-9.1%-$4.67B-11.4%-$4.45B-8.1%-$4.32B-7.9%
$2.57M-68.0%$3.82M-50.7%$6.19M+46.7%$7.16M+6.4%$8.05M+32.1%
$31.64M$35.1M$38.2M
-$12.4M-109%-$27.34M-124%-$77.74M-150%$59.86M-59.7%$139.81M-30.6%
$250.14M-39.1%$277.86M-34.7%$315.58M-29.7%$399.72M-12.7%$410.58M-17.9%
$6.2M$10.25M$1.6M
$1.22M+513%$199K$199K$199K$199K-36.2%
$385K$343K$4.35M
$7.57M+43.5%$8.96M+46.3%$12.4M-18.4%$6.14M-52.1%$5.27M-78.8%
$13.76M-59.4%$10.5M-66.2%$7.78M-73.9%$33.42M+23.2%$33.92M+25.1%
$6.2M$10.25M$1.59M
$10.43M$10.5M
$15.4M$4.8M
$5.7M+72.7%$21.1M+539%$17.7M+532%$7.1M+154%$3.3M+17.9%
$18.11M+1,157%$18.68M+778%$24M+578%$1.42M-63.9%$1.44M-64.1%
$12.12M$12.46M$12.41M
$14.86M+1,130%$4.95M+181%$5.88M+1.4%$6.75M-1.5%$1.21M-92.3%
$10.43M$10.5M
$6.2M$10.25M$1.59M
$4.65M$4.64M+345%$3.29M
$14.86M+1,130%$4.95M+181%$5.88M+1.4%$6.75M-1.5%$1.21M-92.3%
$18.11M+1,157%$18.68M+778%$24M+578%$1.42M-63.9%$1.44M-64.1%
$215.88M-53.9%$216.54M-53.8%$218.72M-52.7%$471.7M+2.1%$468.5M
$14.86M+1,130%$4.95M+181%$5.88M+1.4%$6.75M-1.5%$1.21M-92.3%
$18.11M+1,157%$18.68M+778%$24M+578%$1.42M-63.9%$1.44M-64.1%
$500K$500K$500K
$22.04M-23.6%$22.43M-19.1%$34.06M+29.6%$30.62M+21.4%$28.86M+5.9%
$55.12M-10.4%$58.68M+3.4%$73.21M+23.3%$65.69M+3.0%$61.49M+0.7%
$55.12M-10.4%$58.68M+3.4%$73.21M+23.3%$65.69M+3.0%$61.49M+0.7%
$22.04M-23.6%$22.43M-19.1%$34.06M+29.6%$30.62M+21.4%$28.86M+5.9%
$2.92M-55.8%$3.24M-64.4%$8.64M-68.2%$10.13M-54.4%$6.62M-68.2%
$439K-1.1%$376K-31.0%$389K-17.4%$436K-31.7%$444K-32.5%
$1.9M$1.8M
$62.47M+46.4%$52.73M+26.8%$52.3M+263%$51.91M+231%$42.67M+151%
$0.00
288.5M+232%206.3M+213%172M+460%127.1M-71.2%86.8M-45.6%
12.1M+20.9%5.9M-40.7%5.9M-52.9%10M0.0%10M-20.5%
0100-100%0
0100-100%0
$0$0$0$0$0
$0.000.0%$0.000.0%$0.000.0%$0.000.0%$0.000.0%
$215.88M-53.9%$216.54M-53.8%$218.72M-52.7%$471.7M+2.1%$468.5M
$2.92M-55.8%$3.24M-64.4%$8.64M-68.2%$10.13M-54.4%$6.62M-68.2%
2%
$10K$10K$3K
$0
$232.47M+123%$124.82M$104.25M+2,600%
$4.43M+47.5%$4.39M+44.9%$4.12M$3.24M$3M
$1.9M$1.8M
$0-100%$19.9M-13.9%$19.6M$22.5M$22.2M
$25.88M$22.96M-26.2%$20.2M
$1.01M+25.2%$951K+25.0%$899K$850K$803K
$730K-23.2%$951K$951K$951K
$62.37M-1.3%$62.8M$63M$63.18M
$1.19M0.0%$1.19M$1.19M$1.19M
$60.46M0.0%$60.46M$60.46M$60.46M
-$17.3M
$6.92M$8.95M-67.4%$11.63M
$500K$500K
$1.93M+1.6%$1.9M$1.9M$1.9M
$12.9M$12.9M$12.9M
$0-100%
$31.64M$35.1M$38.2M
$4.7M$4.56M$261K
18%
$1.92M+53.7%$1.85M+42.5%$1.48M-83.5%$1.41M-83.8%$1.25M-84.9%
01
$00.0%$00.0%$00.0%$00.0%$00.0%
$12.09M+20.9%$5.93M-40.7%$5.93M-52.9%$10M0.0%$10M-20.5%
$0$1$0$0-100%$0
$0$1$0$0-100%$0
$5.65M+40.4%$7.12M+47.3%$10.92M+74.6%$4.73M+16.3%$4.02M-75.8%
$45.3M+24.1%$44.2M+25.6%$42.7M+55.5%$41.3M+53.9%$36.5M+8.3%
336.4M+142%250.4M+119%250.4M+119%180.1M-61.9%139.2M-70.6%
$288.54M+232%$206.32M+213%$172.05M+460%$127.13M-71.2%$86.79M-45.6%
$439K-1.1%$376K-31.0%$389K-17.4%$436K-31.7%$444K-32.5%
-$76M+32.3%-$121.2M+28.0%-$146M+26.5%-$112.3M+35.9%

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Questions, answered.

What are Faraday Future Intelligent Electric Inc. Common Stock's total assets?
Faraday Future Intelligent Electric Inc. Common Stock (FFAI) holds $250.1M in total assets, down 39.1% year over year.
How much debt does Faraday Future Intelligent Electric Inc. Common Stock have?
Faraday Future Intelligent Electric Inc. Common Stock carries $62.5M in total debt against -$12.4M of shareholders' equity, a debt-to-equity ratio of 0.87.
How much cash does Faraday Future Intelligent Electric Inc. Common Stock have?
Faraday Future Intelligent Electric Inc. Common Stock holds $12.3M in cash and equivalents.
Can Faraday Future Intelligent Electric Inc. Common Stock cover its short-term obligations?
Its current ratio is 0.36 — current liabilities exceed current assets.
Where does Faraday Future Intelligent Electric Inc. Common Stock's balance sheet data come from?
Every line is extracted from Faraday Future Intelligent Electric Inc. 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.