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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$55.37M+3,927%$60.45M+444%$14.06M-13.7%$11.97M+475%$1.38M-36.3%
$5M$5M$5M$5M
$840K+254%$1.09M+287%$1.57M+1,241%$901K$237K
$1.56M-70.1%$1.6M-69.0%$6.4M+127%$6.62M+900%$5.22M
$4.14M+24.3%$3.17M-0.1%$2.71M+43.6%$2.46M+196%$3.33M+2,348%
$81.82M+696%$83.15M+242%$32.25M+52.0%$21.13M$10.29M
$2.3M+5.1%$1.94M+37.3%$2.18M+77.3%$1.97M$2.19M
$323.46M-25.9%$323.46M-51.6%$323.46M$323.46M$436.81M
$155.13M-12.2%$160.54M-11.9%$165.94M$171.35M$176.75M
$10.78M-57.6%$13.85M-49.4%$19.21M+4,347%$23.46M$25.45M
$1.29M+82.6%$1.35M+76.4%$1.48M+58.9%$652K$707K
$27.47M+8.5%$28.74M0.0%$21.81M+282%$23.41M$25.33M
$591.48M-10.4%$599.19M-33.8%$556.52M+899%$555.99M$660.42M
$3M-40.7%$2.55M-21.5%$856K-69.8%$3.71M+90.5%$5.06M+310%
$667K+96.2%$682K+115%$660K+129%$380K$340K
$4.48M-60.1%$11.34M+22.3%$12.19M+60.0%$10.6M$11.22M
$275K$947K$776K$690K
$7.96M$7.89M$2.09M$1M
$52K-89.6%$23K$930K$292K$500K
$59.85M+26.5%$76.28M+10.0%$82.48M+98.3%$72.32M$47.32M
$503K+93.5%$556K+56.6%$660K+31.7%$176K$260K
$93.33M-11.9%$115.51M-16.9%$149.94M+170%$129.93M$105.95M
$0
$8K-100.0%$7K+75.0%$250M$250M$250M
$617.02M+27.4%$577.07M+14.8%$525.62M$525.35M$484.26M
-$392.41M-77.3%-$371.6M-375%-$333.84M-267%-$305.51M-$221.29M
-$1.17M+20.7%-$1.26M-239%-$1.01M+57.5%-$1.29M-$1.48M
$274.7M+4.0%$279.46M-18.0%$215.81M+1,550%$207.51M$264.25M
$223.45M-14.6%$204.21M-52.0%$190.77M+955%$218.55M+1,968%$261.5M+2,586%
$591.48M-10.4%$599.19M-33.8%$556.52M+899%$555.99M$660.42M
$14.92M+11,930%$11.84M+161%$7.51M+3,477%$4.19M$124K
$14.92M+11,930%$11.84M+161%$7.51M+3,477%$4.19M$124K
$1.29M+82.6%$1.35M+76.4%$1.48M+58.9%$652K$707K
$155.13M-12.2%$160.54M-11.9%$165.94M$171.35M$176.75M
$27.47M-18.4%$28.74M0.0%$31.21M-3.6%$32.42M$33.68M
$1.29M+82.6%$1.35M+76.4%$1.48M+58.9%$652K$707K
$1.29M+82.6%$1.35M+76.4%$1.48M+58.9%$652K$707K
$4.37M-84.8%$4.33M$0$0$28.73M
$7.96M$7.89M$2.09M$1M
$667K+96.2%$682K+115%$660K+129%$380K$340K
$3.47M-53.5%$3.89M-73.6%$5.46M$4.37M$7.47M
$7.96M-59.5%$7.89M-42.2%$90.43M+3,101%$46.99M$19.66M
$8K+60.0%$7K+75.0%$6K$6K$5K
$242K-66.3%$239K-79.4%$237K$474K$718K
$10.78M-57.6%$13.85M-49.4%$19.21M$23.46M$25.45M
$38K-85.4%$119K-97.1%$2.24M$52K$261K
$274.7M+4.0%$279.46M-18.0%$215.81M+1,550%$207.51M$264.25M
$2.93M-5.6%$7.39M+198%$3.23M+67.2%$2.59M$3.1M
$6.94M$8.33M-39.0%$10.1M
$7.44M$12.85M
$825K+17.9%$700K-42.9%$700K+33.3%$700K$700K
$11.55M-6.7%$12.38M0.0%$12.38M-5.4%$12.38M$12.38M
$27.82M+15.9%$27.46M-19.3%$22.74M$23M$24M

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Questions, answered.

What are American Resources Investment Trust Inc's total assets?
American Resources Investment Trust Inc (INV) holds $591.5M in total assets, down 10.4% year over year.
How much debt does American Resources Investment Trust Inc have?
American Resources Investment Trust Inc carries $8.0M in total debt against $223.4M of shareholders' equity, a debt-to-equity ratio of 0.04.
How much cash does American Resources Investment Trust Inc have?
American Resources Investment Trust Inc holds $55.4M in cash and equivalents.
Can American Resources Investment Trust Inc cover its short-term obligations?
Its current ratio is 1.37 — current assets exceed current liabilities.
Where does American Resources Investment Trust Inc's balance sheet data come from?
Every line is extracted from American Resources Investment Trust 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.