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FY'26FY'25FY'24FY'23
$573.46M+863%$59.54M-29.1%$84.04M+172%
$57.5M
$850.25K+6,640%-$13K
$780.75K+767%-$117K
$18K-99.3%$2.74M
$6.32M-56.6%$14.55M
$355K-16.3%$424K
$28.66M+204%$9.42M
$7.49M+119%$3.42M
$826.47M+287%$213.74M
$358.33M+51.0%$237.26M
$20.15M+696%$2.53M
$189.77M+15.5%$164.34M
$11.1M+12,336,666,567%$0.09
$2.98M-35.7%$4.64M
$2.98M
$65K-99.9%$52.72M
$1.6M-92.7%$21.96M
$1.25M
$1.3B+95.5%$663.13M
$16.27M+97.7%$8.23M
$18.7M+259%$5.22M
$97.02M+66,353%$146K
$1.49M-23.9%$1.96M
$235K+80.8%$130K
$148.11M+426%$28.16M
$3.55M-80.4%$18.18M
$572.45M+39,931%$1.43M-64.4%$4.02M
$10.61M-39.2%$17.44M
$1.98M-14.4%$2.31M
$2.76M+6.8%$2.59M
$737.55M+3,004%$23.76M
$1.06B+27.1%$837.76M
$108.28M+6.9%$101.32M
-$612.48M-86.8%-$327.94M
$560.38M-8.3%$611.15M+87.8%$325.36M+32.0%
$1.3B+95.5%$663.13M
$66K+4.8%$63K+23.5%$51K+37.8%
$66K+4.8%$63K+23.5%$51K+37.8%
$28.66M+204%$9.42M
$174.73M+100%$87.3M
$2.29M-33.1%$3.42M
$2.83M-34.0%$4.28M
$18.48M
$18.48M
$6.32M
$2.29M-33.1%$3.42M
$5.2M
$180.29M+50.1%$120.12M+254%$33.97M
$1.41M+19.4%$1.18M
$1.25M
$3.27M
$1.6M
$350K-97.5%$14.22M
$5.2M
$1.4M-59.0%$3.43M
$17.17M-83.7%$105.3M
$18.25M+102%$9.04M
$1.25M
$2.98M-35.7%$4.64M
$2.19M-50.8%$4.44M
$1.25M
$11.1M-47.9%$21.3M
$125.14M
$180.29M+50.1%$120.12M+254%$33.97M
$1.67M
$2.98M
$2.98M-35.7%$4.64M
$350K
$11.1M-47.9%$21.3M
$1.6M
$548.1M+36.5%$401.59M
$11.1M-47.9%$21.3M
$20.16M-49.7%$40.06M
$1.6M
$160.2M+201%$53.3M+4.8%$50.86M+67.7%
$34.97M+58.6%$22.06M
$18.7M+35.3%$13.83M
$588M
$46.44M+80.1%$25.79M
$18.7M+35.3%$13.83M
$2.92M+2,183%$128K
$2.92M+2,183%$128K
$106.06M
$5.280.0%$5.28
1.4%
$12.58M
$683.78M+2,820%$23.42M+482%$4.02M
500%
601.6M+25.5%479.3M
$12.76M
$1.06B+27.1%$837.76M
$9.16M
2.2M
$548.1M+36.5%$401.59M
-$86.72M-710%$14.22M+5,032%$277K
$5.47M+335%$1.26M
$66K+4.8%$63K+23.5%$51K+37.8%
$28.66M-78.7%$134.56M
$3.27M
$5.51M
$5.69
10.8M
$2.2M
$601.58M+25.5%$479.33M
$601.58M+25.5%$479.33M+43.4%$334.15M+49.0%
$20.15M+696%$2.53M
$9.56M
$588M
$590.25M
$5.56M-83.1%$32.83M
$174.73M+100%$87.3M
6,400%-28,700%35,100%
206,000%+77,500%128,500%+48,100%80,400%
199,600%+106,200%93,400%
$34.79M
$5.280.0%$5.28
$3.55M-80.4%$18.18M
$65K0.0%$65K
$4.12M
$3.98M
$163.69M+129%$71.42M
$65K0.0%$65K
$3.49M-80.7%$18.11M
$111.61M+112%$52.72M
$11.69M+124%$5.22M
$160.2M+201%$53.3M+4.8%$50.86M+67.7%
$907K
$14M
$3.55M+8.7%$3.27M
$9M
-$18.28M
$5.2M
125%
$11.88
$2.92M+2,183%$128K
$306K
$3.2M+186%$1.12M
$3.2M
$166K-96.6%$4.83M
$166K
$17.17M-83.7%$105.3M
$1.15M-90.3%$11.8M
$5.16M
$5.16M-33.4%$7.74M
$7.09M
$1.25M
$235K+80.8%$130K
$2.13M-6.8%$2.28M
$5
$14.31M
$27.9M
$3.36M
$13.34M
$3.67M
$3.77M
$3.76M
$7.85M
$5.74M
$11.47M
$11.47M+207%$3.74M
$355K-16.3%$424K
$1.1M+7,200%$15K
$22.41M
$18K-99.3%$2.74M
$14.31M-34.5%$21.84M
$106.06M
$699.66M+44,294%$1.58M
$31.03M
$31.03M-30.4%$44.57M
$5.16M-33.4%$7.74M
$0.090.0%$0.09
$5.51M-74.9%$21.96M
$12.58M
$44.23M
$1.41M+19.4%$1.18M
$350K
130%
30%
30%
1%
$9.2M+104%$4.51M
$129.66K
$24.63M
$14.22M
$57.5M
$13.23M-43.9%$23.58M
$18.48M
$1.07M-60.3%$2.68M
$5.16M-33.4%$7.74M
$12.76M
$0.93-21.8%$1.19+10.2%$1.08
$9.16M
$402.55M
$402.55M+62.6%$247.53M
$721.18M
$129.66K
7%-1.0%8%
$0.07-12.5%$0.08

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Questions, answered.

Can Keel Infrastructure Corp. Common Stock cover its short-term obligations?
Its current ratio is 9.60 — current assets exceed current liabilities.
Where does Keel Infrastructure Corp. Common Stock's balance sheet data come from?
Every line is extracted from Keel Infrastructure Corp. 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.