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Intuitive Machines, Inc. LUNR Balance Sheet Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$243.37M-35.2%$585.34M+179%$624.02M+581%$346.94M+930%$375.3M+555%
$11.74M+475%$2.73M+33.8%$2.04M0.0%$2.04M0.0%$2.04M0.0%
$57.87M$0$0
$41.88M
$16M
$24.33M+372%$5.69M+36.8%$8.47M+127%$4.8M+24.6%$5.16M+52.9%
$48.02M+123%$12.24M-64.6%$10.18M-52.8%$8.44M+15.2%$21.52M+8.4%
$505.28M+17.1%$618.81M+111%$665.98M+296%$396.75M+377%$431.31M+273%
$244.22M+720%$68.55M+193%$49.47M+188%$40.61M+90.6%$29.79M+52.6%
$14.79M+201%$7.56M+67.5%$6.49M+63.4%$5.67M+62.5%$4.92M+60.4%
7.2%+0.7%3,675,500,000%-201,000,000%11.3%+4.8%3,766,200,000%+208,500,000%6.5%-3,540,199,994%
$379.84M$18.7M
$304.13M$12.97M
$843K+46.4%$1.28M$1.23M$507K$576K
$1.72B+244%$757.15M+113%$753.53M+235%$475.64M+239%$500.01M+193%
$90.42M+860%$33.03M+187%$15.62M+26.4%$10.31M+18.0%$9.42M+6.3%
$205.58M+255%$57.37M-12.0%$66.16M+20.7%$68.43M+68.7%$57.93M+102%
$33K-17.5%$48K$42K$41K-98.6%$40K-99.5%
$27.7M+1,227%$10.47M+418%$6.25M+100%$2.12M-30.0%$2.09M-45.9%
$33K-17.5%$48K+29.7%$42K+16.7%$41K+13.9%$40K+25.0%
$2.73M-78.9%$6.34M-55.8%$1.64M+86.1%$3.22M-3.0%$12.96M+259%
$143K+233%$143K+233%$43K-27.1%$43K+115%$43K+115%
$5.34M$3.19M$1.03M
$415.46M+323%$124.83M+26.3%$106.02M+11.2%$107.3M+26.2%$98.15M-6.4%
$335.84M$335.34M$334.83M
$62.79M+78.4%$26.29M-25.4%$30.08M-14.8%$35.14M+12.3%$35.2M+12.6%
$57K$68K-32.0%$80K
$90.49M$36.76M-1.4%$36.33M
$24K-60.7%$20K-68.3%$38K-48.6%$49K-41.7%$61K-23.8%
$48.09M+18,613%$240K+287%$239K+113%$242K+53.2%$257K+6,325%
$75.69M+194%$65.75M-67.6%$36.86M-62.3%$38.81M+26.7%$25.78M-65.6%
$0$0$0$0$0
-$300.79M-191%-$721.46M+27.6%-$370.67M+23.4%-$347.69M-56.5%-$103.41M+78.5%
$33.53M0.0%$33.53M+161%$33.53M+161%$33.53M+161%$33.53M+161%
$1.06B+132%$951.54M-5.4%$640.66M+32.1%$663.73M+204%$456.7M+3.0%
$860K-49.1%$517K-57.9%$892K-38.7%$2.07M+163%$1.69M+73.9%
-$334.3M-144%-$754.96M+25.2%-$404.17M+18.6%-$381.2M-62.2%-$136.91M+72.3%
$1.72B+244%$757.15M+113%$753.53M+235%$475.64M+239%$500.01M+193%
$3.65M$3.3M$0-100%
$3.65M$3.3M$0-100%
$0
$18.3M
$310.3M$13.3M
$66.03M+72.8%$36.76M-5.2%$36.74M-6.4%$37.66M+5.9%$38.22M+7.9%
$304.13M$12.97M
$304.13M$12.97M
$66.03M+72.8%$36.76M-5.2%$36.74M-6.4%$37.66M+5.9%$38.22M+7.9%
$217.52M$0
$843K+46.4%$1.28M$1.23M$507K$576K
$259.01M+646%$76.11M+173%$55.96M+165%$46.28M+86.6%$34.71M+53.7%
$66.03M+72.8%$36.76M-5.2%$36.74M-6.4%$37.66M+5.9%$38.22M+7.9%
$25.9M$3.35M
$2.1M0.0%$2.1M0.0%$2.1M$2.1M$2.1M
$1.87M$0
$2.73M-78.9%$6.34M-55.8%$1.64M+86.1%$3.22M-3.0%$12.96M+259%
$143K+233%$143K+233%$43K-27.1%$43K+115%$43K+115%
$90.42M+860%$33.03M+187%$15.62M+26.4%$10.31M+18.0%$9.42M+6.3%
$61K$86K
$4K$6K
$22.83M$646K
$21K$45K
$18.09M$3.66M
$3.94M$4.34M
$8K$21K
$17.77M$3.83M
$3.94M$4.34M
$32K$12K
$144.59M$109.1M
$54.1M$72.77M
$6.33M+967%$11.46M+1,094%$1.98M+86.0%$1.18M+129%$593K-17.1%
$2.73M-78.9%$6.34M-55.8%$1.64M+86.1%$3.22M-3.0%$12.96M+259%
$2.5M-87.7%$21.6M+350%$20.3M+269%$20.3M
$816K$862K$907K
$1.9M
$52.03M$0
$17.77M$3.83M
$17.77M$3.83M
$3.94M$4.34M
$2.73M-78.9%$6.34M-55.8%$1.64M+86.1%$3.22M-3.0%$12.96M+259%
$52.03M$0
$426.43M+1,041%$372.21M+896%$371.28M+863%$37.35M-0.2%$37.39M-13.5%
$10.83B+185%$4.95B+2.0%$5.88B+342%$3.8B-4.6%
$0
557.9K+9.2%574.2K-1.0%602.2K-6.8%511.1K+26.9%
748.4K-18.9%748.4K-24.4%765K-25.5%837.8K-26.4%923.2K-19.5%
$17.57$10.61
$6.78M+10.4%$6.61M+10.4%$6.45M+10.4%$6.29M+10.4%$6.14M+10.4%
$4.09+11.7%$4.09+15.5%$4.04+16.4%$3.85+16.3%$3.66+10.9%
$259.01M+646%$76.11M+173%$55.96M+165%$46.28M+86.6%$34.71M+53.7%
$26.61M+210%$12.82M+24.8%$12.41M+20.3%$8.91M+27.2%$8.58M+50.9%
$6.33M+967%$11.46M+1,094%$1.98M+86.0%$1.18M+129%$593K-17.1%
$3.65M$3.3M$0-100%
$3.91M$0
10.0%10.0%10.0%10.0%
$6.7M-29.2%$8K-100.0%$3.02M-37.0%$3.06M-49.5%$9.47M+44.4%
$48.02M+123%$12.24M-64.6%$10.18M-52.8%$8.44M+15.2%$21.52M+8.4%
$41.32M+243%$12.23M-32.5%$7.15M-57.4%$5.38M+324%$12.05M-9.3%
$208.31M+194%$63.71M-19.9%$67.79M+21.7%$71.64M+63.3%$70.89M+119%
$1.55M$4.66M+87.1%$555K-75.6%$1.19M-41.2%$0-100%
$5.7M+3.3%$7M-11.3%$9.17M+12.2%$9.4M-26.0%$5.52M-28.9%
$297K$441K$1.64M+86.1%$3.22M-3.0%
$198.33M+278%$45.71M-16.6%$56.44M+27.2%$57.84M+124%$52.41M+173%
$2.43M$5.9M-58.8%$0$0
$8.34M$8.8M$9.27M
$53.9M
$52M
$336.1M
$0-100%
$33K-17.5%$48K+29.7%$42K+16.7%$41K+13.9%$40K+25.0%
$61K$86K
$21K$45K
$0$0
$0$8K
$8K$21K
$4K$6K
$86K-27.1%$94K-17.5%$102K-15.7%$110K-14.1%$118K0.0%
$6.17M$332K
$18.3M
$18.3M
$17.5M
$18.3M
$18.3M
$310.3M$13.3M
$379.84M$18.7M
$0
$10M
$10M
$5.57M$2.85M$1.5M
$41.88M
$0$0
$144.59M$109.1M
$60.9M$81.3M
$54.1M$72.77M
$2.1M0.0%$2.1M0.0%$2.1M$2.1M$2.1M
$860K-49.1%$517K-57.9%$892K-38.7%$2.07M+163%$1.69M+73.9%
30.0%333
12
$0.07+10.8%$0.11+73.8%$0.07
$39.26M$0
$10.47M+5,160%$70K-67.0%$165K-75.4%$176K-22.1%$199K-70.6%
$1.87M$0
$122.7M+30.8%$93.2M+292%$93.2M+186%$93.8M
$1.06B+132%$951.54M-5.4%$640.66M+32.1%$663.73M+204%$456.7M+3.0%
$792.3M+483%$119.3M-39.0%$125.4M+32.6%$135.9M+107%
$60.29M
$24.87M$0
$35.42M
$557.88K+9.2%$574.24K-1.0%$602.21K-6.8%$511.09K+26.9%
$748.36K-18.9%$748.36K-24.4%$765.04K-25.5%$837.79K-26.4%$923.17K-19.5%
$4.09+11.7%$4.09+15.5%$4.04+16.4%$3.85+16.3%$3.66+10.9%
$10.83B+185%$4.95B+2.0%$5.88B+342%$3.8B-4.6%
$3.65+16.2%$3.59+20.5%$3.01+25.9%$3.14+18.5%
$17.57$10.61
$3.17+33.8%$3.17+42.2%$3.17+42.8%$3.60+42.9%$2.37+25.4%
$8.32B+258%$3.98B+32.6%$4.74B+435%$2.32B+47.9%
85%0.0%85%0.0%85%0.0%85%0.0%
$0.000.0%$0.000.0%$0.000.0%$0.000.0%$0.000.0%
25M0.0%25M0.0%25M0.0%25M0.0%25M0.0%
5K0.0%5K0.0%5K0.0%5K0.0%5K0.0%
5K0.0%5K0.0%5K0.0%5K0.0%5K0.0%
725M0.0%725M0.0%725M0.0%725M0.0%
219M+21.2%181M+27.8%180.9M+40.7%180.6M+46.4%
216.8M+21.5%178.8M+27.4%178.7M+40.4%178.4M+46.1%
$2.19M0.0%$2.19M0.0%$2.19M+75.3%$2.19M+75.3%$2.19M+75.3%
$69.82M+171%$60.39M-12.2%$36.86M-26.0%$38.81M+141%$25.78M-32.7%
$11.7M
$5M$0
$89.8M-73.0%$560M+667%$289.5M+15,337%$333.2M+2,957%
$47.1M+31.6%$11.9M$29.4M$35.8M
$122.7M+30.8%$93.2M+292%$93.2M+186%$93.8M
$22.83M$646K
$17.5M
$73.1M+93.9%$7.9M-58.4%$43.5M+60.5%$37.7M
8%0.0%8%+0.2%8%
$0.080.0%$0.08+2.6%$0.08

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Questions, answered.

Can Intuitive Machines, Inc. cover its short-term obligations?
Its current ratio is 1.22 — current assets exceed current liabilities.
Where does Intuitive Machines, Inc.'s balance sheet data come from?
Every line is extracted from Intuitive Machines, 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.