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JBT Marel Corporation JBTM Balance Sheet Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$230M+93.3%$187M-84.8%$133.3M-75.1%$130M-72.6%$119M-75.2%
$19M0.0%$19M$18.4M$18.2M$19M
$438M+9.7%$443M+84.8%$434.6M+82.7%$413.7M+81.1%$399.3M+80.9%
$698M+9.1%$675M+167%$697.7M+150%$687.9M+147%$639.8M+137%
$206M+4.4%$218M+484%$223.3M+508%$225.5M+723%$197.4M+600%
$96M+5.6%$82M+63.3%$90.1M+41.2%$88.8M+48.2%$90.9M+64.4%
$396M+12.7%$375M+127%$384.3M+115%$373.6M+94.9%$351.5M+88.0%
$198M-6.6%$190M+185%$195.1M+152%$195.7M+142%$212.1M+187%
$23M+117%$4M-36.5%$5.4M-63.0%$7.7M-47.3%$10.6M-22.1%
$1.68B+12.5%$1.58B-15.0%$1.54B+27.7%$1.53B+35.9%$1.49B+35.0%
$779M+4.9%$793M+239%$798.9M+228%$803.7M+232%$742.9M+201%
$403M+18.3%$392M+22.3%$378M+14.8%$362.2M+13.9%$340.7M+7.7%
$3.39B+19.7%$3.43B+346%$3.42B+335%$3.1B+301%$2.83B+266%
$2.05B-21.7%$2.12B+522%$2.16B+503%$2.57B+605%$2.62B+597%
$264M-15.4%$265M+28.1%$278.1M+42.3%$247.1M+34.5%$311.9M+63.8%
$8.16B+2.0%$8.19B+140%$8.2B+194%$8.25B+207%$8B+197%
$294M+4.2%$262M+100%$300.5M+108%$288.9M+113%$282.2M+98.2%
$237M+1.2%$260M+67.6%$273.5M+120%$260.4M+124%$234.2M+81.0%
$154M+3.0%$170M+207%$164.3M+263%$162.3M+296%$149.5M+350%
$1.5B+15.4%$1.3B+86.2%$1.4B+101%$1.3B+95.9%
$411M+1,821%$412M$411.4M$410.2M$21.4M
$4.2M+320%
$411M+1,821%$412M$411.4M$410.2M$21.4M
$539M+12.1%$499M+180%$482.2M+228%$508M+265%$481M+226%
$0$0$0$0$0
$1.66B+40.0%$1.62B+203%$1.65B+248%$1.64B+271%$1.18B+154%
$1.84B-6.7%$1.88B+50.3%$1.91B+194%$1.92B+197%$1.98B+205%
$10.2M+325%
$6M+329%
$212M+59.3%$252M+521%$233.8M+291%$209.5M+256%$133.1M+111%
$0$0$0$0$0
120M0.0%120M+39,900%120M0.0%120M0.0%120M0.0%
$2.72B-0.5%$2.72B+1,060%$2.72B+1,075%$2.73B+1,098%$2.73B+1,111%
$1.51B+10.8%$1.47B-4.6%$1.42B-8.4%$1.36B-10.2%$1.36B-8.4%
$262M+1,119%$281M+225%$283.9M+249%$286.9M+232%$21.5M+110%
$4.48B+9.2%$4.46B+189%$4.42B+179%$4.37B+188%$4.11B+175%
$8.16B+2.0%$8.19B+140%$8.2B+194%$8.25B+207%$8B+197%
$198M-6.6%$190M+185%$195.1M+152%$195.7M+142%$212.1M+187%
$1M-58.3%$2M+25.0%$2M+122%$2.6M-23.5%$2.4M0.0%
$31M+17.9%$31M+60.6%$28.3M+38.7%$26.8M+32.0%$26.3M+29.6%
$107M$140M+228%$150.3M$132.9M
$142M-1.8%$119M+24.7%$107.5M+11.2%$128.5M+54.6%$144.6M+84.0%
$264M-15.4%$265M+28.1%$278.1M+42.3%$247.1M+34.5%$311.9M+63.8%
$2.58B-13.7%$2.62B+294%$2.62B+286%$3B+350%$2.99B+348%
$11M+5.8%$11M+6.8%$10.7M+1.9%$10.7M+2.9%$10.4M0.0%
$11M+5.8%$11M+6.8%$10.7M+1.9%$10.7M+2.9%$10.4M0.0%
$11M+5.8%$11M+6.8%$10.7M+1.9%$10.7M+2.9%$10.4M0.0%
$11M+5.8%$11M+6.8%$10.7M+1.9%$10.7M+2.9%$10.4M0.0%
$2.05B-21.7%$2.12B+522%$2.16B+503%$2.57B+605%$2.62B+597%
$264M-15.4%$265M+28.1%$278.1M+42.3%$247.1M+34.5%$311.9M+63.8%
$793.4M+239%
$264M-15.4%$265M+28.1%$278.1M+42.3%$247.1M+34.5%$311.9M+63.8%
$561M+13.1%$518M+167%$499.4M+214%$521.9M+248%$496.1M+208%
$237M+1.2%$260M+67.6%$273.5M+120%$260.4M+124%$234.2M+81.0%
$1M-58.3%$2M+25.0%$2M+122%$2.6M-23.5%$2.4M0.0%
$1M-58.3%$2M+25.0%$2M+122%$2.6M-23.5%$2.4M0.0%
$21M-4.5%$21M+75.0%$21.6M+74.2%$23.4M+121%$22M+110%
$403M$393.1M$468.2M
$2.25B+12.9%$2.38B+85.0%$2.32B+257%$2.33B+260%$2B+209%
$379M-36.1%$383M+1,633%$383M$495.7M$593.2M
$0.010.0%$0.010.0%$0.010.0%$0.010.0%$0.010.0%
52.1M+0.2%52M+63.1%52M+63.1%52M+63.1%52M+63.1%
20M0.0%20M0.0%20M0.0%20M0.0%20M0.0%
00000
$1M+100%$1M+233%$500K+66.7%$500K+66.7%$500K+66.7%
$0$0$0$0$0
$0.010.0%$0.010.0%$0.010.0%$0.010.0%$0.010.0%
$108M+93.2%$142M+221%$152.3M+15,130%$135.5M+2,911%$55.9M+760%
$108M+93.2%$142M+221%$152.3M+15,130%$135.5M+2,911%$55.9M+760%
$37M$37.2M$35.8M
$0.010.0%$0.010.0%$0.010.0%$0.010.0%$0.010.0%
$120M0.0%$120M0.0%$120M0.0%$120M0.0%$120M0.0%
$52.05M+0.2%$51.97M+63.1%$51.97M+63.1%$51.97M+63.1%$51.96M+63.1%
$142M-1.8%$119M+24.7%$107.5M+11.2%$128.5M+54.6%$144.6M+84.0%
$142M-2.1%$119M+25.3%$107.5M+11.2%$128.5M+54.6%$145M+84.5%
$539M+12.1%$499M+180%$482.2M+228%$508M+265%$481M+226%
$379M-36.1%$383M+1,633%$383M$495.7M$593.2M
$22M$2M-57.4%$3.4M$5.1M
$0$0$0$0$0
$23M+117%$4M-36.5%$5.4M-63.0%$7.7M-47.3%$10.6M-22.1%
$108M+93.2%$142M+221%$152.3M+15,130%$135.5M+2,911%$55.9M+760%
$108M+93.2%$142M+221%$152.3M+15,130%$135.5M+2,911%$55.9M+760%
$107M$140M+228%$150.3M$132.9M
$0$0$0$0$0
$1M-58.3%$2M+25.0%$2M+122%$2.6M-23.5%$2.4M0.0%
$4.2M+320%
$528M+43.8%$494M+53.3%$454.4M+42.4%$428.6M+41.6%$367.2M+26.0%
$2.58B-13.7%$2.62B+294%$2.62B+286%$3B+350%$2.99B+348%
90%0.0%90%90%90%
$11M+5.8%$11M+6.8%$10.7M+1.9%$10.7M+2.9%$10.4M0.0%
$206M+4.4%$218M+484%$223.3M+508%$225.5M+723%$197.4M+600%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%$0.010.0%
$20M0.0%$20M0.0%$20M0.0%$20M0.0%$20M0.0%
$0$0$0$0$0
$1.5B+15.4%$1.3B+86.2%$1.4B+101%$1.3B+95.9%
$21M-4.5%$21M+75.0%$21.6M+74.2%$23.4M+121%$22M+110%

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Questions, answered.

What are JBT Marel Corporation's total assets?
JBT Marel Corporation (JBTM) holds $8.2B in total assets, up 2.1% year over year.
How much debt does JBT Marel Corporation have?
JBT Marel Corporation carries $2.3B in total debt against $4.5B of shareholders' equity, a debt-to-equity ratio of 0.50.
How much cash does JBT Marel Corporation have?
JBT Marel Corporation holds $230.0M in cash and equivalents.
Can JBT Marel Corporation cover its short-term obligations?
Its current ratio is 1.01 — current assets exceed current liabilities.
Where does JBT Marel Corporation's balance sheet data come from?
Every line is extracted from JBT Marel Corporation'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.