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Heartflow, Inc. Common Stock HTFL Balance Sheet Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$24.37M-78.7%$49.49M-11.4%$295.64M+328%$84.69M+6.1%$114.26M
$138.65M$132.01M
$4.7M+5.1%$4.71M+3,039%$0-100%$0-100%$4.48M
$35.53M+887%$29.34M+19.1%$27.86M+2,795%$29.69M+2,985%$3.6M+274%
$17.99M+4,298%$14.08M+130%$8.76M+3,411%$8.55M+3,325%$409K+63.9%
$139.99M$159.82M
$0$24.6M$29.41M+2,573%$11.1M
$211.83M$220.2M+168%$327.79M$118.44M
$9.83M$8.59M-3.7%$7.98M$8.07M
$13.93M$12.51M-75.7%$55.56M$54.26M
8.7%8.6%-0.4%9.1%9.1%
$1.59M-1.6%
$1.6M$839K+233%$364K$298K
$96.58M$103.37M
$0
$0$0-100%
$344.03M$359.45M+203%$364.4M$159.36M
$5.75M+453%$3.17M+10.4%$1.96M+2,495%$1.79M+2,285%-$1.63M-1,890%
$19.76M$28.15M+54.6%$23.06M$16.62M
$1.58M$1.16M+11.6%$520K$420K
$6.38M$5.92M+9.3%$5.52M$5.49M
$386K$327K+79.7%$149K$131K
$10.65M+18.8%
$38.02M$42.37M+26.1%$37.85M$32.94M
$109K+65.2%
$19.97M$16.13M-13.0%$16.27M$17.24M
$26.35M$22.05M$21.79M$22.73M
$322K$303K+41.6%$294K$281K
$58.31M$58.81M+182%$55.42M$52.71M
$250M$250M+18.9%$250M$210.3M
$1.4B$1.39B+1,137%$1.32B$118.42M
-$1.12B-$1.09B-12.0%-$1.06B-$1.01B
-$685K-$425K+44.9%-$512K-$717K
$285.72M+132%$300.65M+135%$254.57M+131%-$894.8M-9.8%-$889M-11.7%
$344.03M$359.45M+203%$364.4M$159.36M
$241.64M$267.74M
$236.58M$263.18M
$236.58M$263.18M
$0$0
$0$0
$1.42M$30.71M
$1.42M$30.71M
$0$0
$365K$15K
$1.42M$30.71M
$626K$626K-23.1%$643K$643K
$626K$626K-23.1%$643K$643K
$8.2M$6.67M+172%$2.45M$2.45M
$365K$15K
$8.2M$6.67M+172%$2.45M$2.45M
$254.9M$280.2M
$1.47M$1.44M+118%$936K$788K
$835K$814K+41.8%$224K$820K
$13.27M$10.93M+77.6%$9.14M$8.41M
$6.68M$5.1M+16.8%$7.05M$10.48M
$15.41M-25.5%
$241.64M$267.74M
$14.41M$17.49M-7.0%$17.11M$17.89M
$5.07M$4.26M+15.1%$6.68M$5.95M
$0
$96.58M$103.37M
$14.41M$17.49M-7.0%$17.11M$17.89M
$6.68M$5.1M+16.8%$7.05M$10.48M
$23.76M$21.09M-65.1%$63.55M$62.33M
$138.65M$132.01M
$14.41M$17.49M-7.0%$17.11M$17.89M
$6.68M$5.1M+16.8%$7.05M$10.48M
$196.78M+0.8%
$0$0$0$0
$19.76M$28.15M+54.6%$23.06M$16.62M
$1.05M$864K+17.4%$1.02M$489K
$19.76M$28.15M+54.6%$23.06M$16.62M
$0$24.6M$29.41M+2,573%$11.1M
$5.04M$1.46M$2.83M
$7.07M$5.66M$5.19M$5.19M
$5.15M$5.35M$5.31M$5.31M
$7.07M$5.66M$5.19M$5.19M
$6.81M$5.65M$5.16M$5.16M
$5.15M$5.35M$5.31M$5.31M
$6.85M$6.18M$5.8M$5.8M
$31.61M$26.48M$26.55M$27.93M
$5.26M$4.43M$4.76M$5.21M
$821K$627K-62.5%$2.27M$4.34M
$4.26M-8.5%
$6.81M$5.65M$5.16M$5.16M
$6.81M$3.65M$5.16M$5.16M
$5.15M$5.35M$5.31M$5.31M
$3.65M
$25.89M$33.28M+31.4%$30.37M$25.66M
$26.35M$22.05M-7.9%$21.79M$22.73M
$0
$9.22M+7.3%
$0$0
$0.00$0.000.0%$0.00$0.00
$86.11M$85.28M+1,293%$83.47M$6.39M
$150.61M$211.11M+209%$260.01M$72.53M
$50M$50M$50M
$0$0$0
000
$86K$85K+1,317%$83K$6K
$365K$15K
$82.46M$104.1M$110.6M$30.43M
$150.61M$211.11M$260.01M$72.53M
$0.00$0.000.0%$0.00
$10.23M$10M+17.2%$10.01M$8.52M
$40.9M$30.5M$31.1M$14.8M
$23.72M$25M-60.0%$28.11M$61.4M
$1.1M0.0%
$1K$169K
$365K$15K
00-100%
5.65.35.25.2
9.98.1+70.6%7.75.2
9.98.17.75.2
$241.64M$267.74M+343%$63.55M$62.33M
$0$24.6M$29.41M+2,573%$11.1M
$1.12M$550K-54.7%$962K$1.18M
$821K$627K-62.5%$2.27M$4.34M
$1.05M$864K+17.4%$1.02M$489K
$626K$626K-23.1%$643K$643K
$626K$626K-23.1%
$365K$15K
$1K$169K
$241.64M$267.74M
$96.58M$103.37M
$139.99M$159.82M
$241.28M$267.89M
$13.27M$10.93M+77.6%$9.14M$8.41M
$23.72M$25M-60.0%$28.11M$61.4M
$0$00.0%$0$0
$250M$250M+18.9%$250M$210.3M
$86.11M$85.28M+1,293%$83.47M$6.39M
$86.11M$85.28M+1,293%$83.47M$6.39M
$386K$327K+79.7%$149K$131K
$50K$50K$50K$50K
$50K$50K$50K$50K
$50K$50K$50K$50K
$50K$50K$50K$50K
$0$0
$1.42M$30.71M
$0$0
$365K$15K
$7.07M+12.7%
$10.65M+18.8%
$204.04M+1.3%
$186K
$196.97M+0.9%
$5.39M-9.6%
$154.36M+7.9%
$3.65M-20.8%
$7.63M+7.3%
$1.59M-1.6%
$5.37M-43.5%
$196.78M+0.8%
$2.7M+73.8%
$109K+65.2%
$0
$0$24.6M$29.41M+2,573%$11.1M
$40.9M$30.5M$31.1M$14.8M
$0
$31.61M$26.48M$26.55M$27.93M
$696K$3.65M$3.65M
$5.26M$4.43M$4.76M$5.21M
$0$0$0$0
$0.09$0.09-4.4%$0.09$0.09
$1.55M$1.93M-21.4%$2.54M$2.61M
$0$00.0%$0
$50M$50M$50M
$0$0$0
$0$0$0
$8.31M$5.96M+97.7%$5.37M$5.3M
$9.94$8.05$7.68$5.17
$10.23M$10M+17.2%$10.01M$8.52M
$10.23M$10M$10.01M$8.52M
$150.61M$211.11M$260.01M$72.53M
$9.94$8.05+70.6%$7.68$5.17
$82.46M$104.1M$110.6M$30.43M
$150.61M$211.11M+209%$260.01M$72.53M
$835K$814K+41.8%$224K$820K
$1.1M0.0%
$9.22M+7.3%
$250K$300K$250K$250K
$5.04M$1.46M$2.83M
$50K$50K$50K$50K
$50K$50K$50K$50K

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Questions, answered.

What are Heartflow, Inc. Common Stock's total assets?
Heartflow, Inc. Common Stock (HTFL) holds $344.0M in total assets.
How much debt does Heartflow, Inc. Common Stock have?
Heartflow, Inc. Common Stock carries $26.3M in total debt against $285.7M of shareholders' equity, a debt-to-equity ratio of 0.09.
How much cash does Heartflow, Inc. Common Stock have?
Heartflow, Inc. Common Stock holds $24.4M in cash and equivalents.
Can Heartflow, Inc. Common Stock cover its short-term obligations?
Its current ratio is 5.57 — current assets exceed current liabilities.
Where does Heartflow, Inc. Common Stock's balance sheet data come from?
Every line is extracted from Heartflow, 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.