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TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$165.92M-23.5%$216.89M-11.0%$243.57M-9.8%$269.91M-5.3%$285.05M-11.6%
$109.33M+4.7%$104.41M-11.1%$117.43M-5.1%$123.68M-5.3%$130.54M-5.9%
$172.95M-5.1%$182.26M-5.0%$191.85M-2.6%$197.06M-1.3%$199.73M0.0%
$12.85M-12.0%$14.61M-8.9%$16.03M-2.4%$16.43M-4.5%$17.21M+1.4%
$8.98M+22.7%$7.32M-24.6%$9.7M-7.8%$10.52M+6.1%$9.92M-1.3%
$18.63M+0.3%$18.57M-5.2%$19.59M-0.6%$19.72M-13.0%$22.65M-1.8%
$55.04M-1.8%$56.07M-7.9%$60.84M-10.6%$68.07M-2.5%$69.83M-5.2%
$251.74M-15.0%$296.25M-9.1%$325.87M-9.4%$359.76M-4.4%$376.28M-12.3%
$146.93M-3.0%$151.48M-4.5%$158.62M-2.5%$162.73M-2.2%$166.43M+1.2%
$129.43M0.0%$129.43M0.0%$129.43M0.0%$129.43M-19.0%$159.88M0.0%
$144.89M-4.4%$151.54M-18.5%$185.88M-3.7%$193.07M-3.3%$199.58M+2.4%
$40.24M-3.9%$41.88M-15.2%$49.4M-5.0%$51.98M-9.7%$57.58M-3.7%
$713.22M-7.4%$770.58M-9.3%$849.19M-5.3%$896.97M-6.5%$959.75M-4.8%
$30.97M-3.1%$31.96M-22.1%$41.01M+34.1%$30.59M+29.4%$23.63M+127%
$28.65M-21.7%$36.57M+191%$12.55M-23.7%$16.44M-63.1%$44.6M+12.7%
$5.44M0.0%$5.44M0.0%$5.44M0.0%$5.44M0.0%$5.44M0.0%
$3.2M+6.7%$3M+15.4%$2.6M0.0%$2.6M-25.7%$3.5M+6.1%
$42.62M-5.1%$44.92M-27.1%$61.57M-11.6%$69.68M+10.3%$63.16M+10.9%
$235.57M-17.7%$286.33M-0.4%$287.38M-0.4%$288.44M-0.4%$289.5M-0.3%
$29.87M-0.9%$30.14M-0.9%$30.41M-0.8%$30.65M-0.7%$30.88M-0.7%
$36.07M-1.1%$36.48M-3.9%$37.97M-0.6%$38.19M-13.1%$43.97M-16.2%
$344.13M-13.5%$397.87M-4.7%$417.33M-2.7%$428.98M-0.1%$429.48M-0.4%
$202.13M+1.5%$199.18M+1.4%$196.51M+2.7%$191.38M+2.5%$186.8M+2.7%
$6.39M-36.9%$10.12M-77.9%$45.8M-35.8%$71.36M-35.7%$110.95M-21.3%
$466K-11.1%$524K-9.5%$579K
$157.52M-1.8%$160.33M-14.0%$186.42M-7.8%$202.12M-12.0%$229.66M-8.8%
$211.56M-0.4%$212.38M-13.5%$245.44M-7.7%$265.86M-11.6%$300.61M-7.6%
$713.22M-7.4%$770.58M-9.3%$849.19M-5.3%$896.97M-6.5%$959.75M-4.8%
$18.63M+0.3%$18.57M-5.2%$19.59M-0.6%$19.72M-13.0%$22.65M-1.8%
$40.24M-3.9%$41.88M-15.2%$49.4M-5.0%$51.98M-9.7%$57.58M-3.7%
$144.89M-4.4%$151.54M-18.5%$185.88M-3.7%$193.07M-3.3%$199.58M+2.4%
$40.24M-3.9%$41.88M-15.2%$49.4M-5.0%$51.98M-9.7%$57.58M-3.7%
$146.93M-3.0%$151.48M-4.5%$158.62M-2.5%$162.73M-2.2%$166.43M+1.2%
$40.24M-3.9%$41.88M-15.2%$49.4M-5.0%$51.98M-9.7%$57.58M-3.7%
$28.65M-21.7%$36.57M-24.0%$48.14M-4.1%$50.2M+12.6%$44.6M+12.7%
$28.65M-21.7%$36.57M-24.0%$48.14M-4.1%$50.2M+12.6%$44.6M+12.7%
$1.87M-24.3%$2.47M-11.2%$2.78M-9.9%$3.08M-8.8%$3.38M-9.8%
$270.88M-25.7%$364.71M-0.9%$367.94M-0.8%$371.08M+13.6%$326.65M-13.3%
$1.1M+10.0%$1M+150%$400K0.0%$400K
$3.2M+6.7%$3M+15.4%$2.6M0.0%$2.6M-25.7%$3.5M+6.1%
$157.52M-1.8%$160.33M-14.0%$186.42M-7.8%$202.12M-12.0%$229.66M-8.8%
$1.1M+10.0%$1M+150%$400K0.0%$400K

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Questions, answered.

What are Maravai LifeSciences Holdings, Inc.'s total assets?
Maravai LifeSciences Holdings, Inc. (MRVI) holds $713.2M in total assets, down 25.7% year over year.
How much debt does Maravai LifeSciences Holdings, Inc. have?
Maravai LifeSciences Holdings, Inc. carries $270.9M in total debt against $211.6M of shareholders' equity, a debt-to-equity ratio of 1.28.
How much cash does Maravai LifeSciences Holdings, Inc. have?
Maravai LifeSciences Holdings, Inc. holds $165.9M in cash and equivalents.
Can Maravai LifeSciences Holdings, Inc. cover its short-term obligations?
Its current ratio is 5.91 — current assets exceed current liabilities.
Where does Maravai LifeSciences Holdings, Inc.'s balance sheet data come from?
Every line is extracted from Maravai LifeSciences Holdings, 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.