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Q3 '26Q2 '26Q1 '26Q4 '25Q3 '25
$323.65M+105%$157.58M+417%$30.47M-30.0%$43.54M-51.3%$89.47M+62.0%
$559K+7.3%$521K0.0%$521K0.0%$521K0.0%$521K+73.7%
$89.68M-25.8%$120.87M+48.9%$81.18M+21.6%$66.78M-21.0%$84.51M-9.5%
$3.05M-19.2%$3.77M-18.2%$4.61M+23.0%$3.75M-7.8%$4.07M+34.2%
$93.43M-9.4%$103.16M-19.9%$128.8M+23.5%$104.33M+2.5%$101.76M+5.8%
$7.8M-1.9%$7.95M+23.9%$6.41M-16.2%$7.65M-13.2%$8.81M-3.4%
$538.63M+28.2%$420.15M+59.0%$264.22M+11.4%$237.13M-22.9%$307.59M+14.0%
$598.55M-1.4%$607.19M-0.9%$612.61M-1.4%$621.08M-0.9%$626.98M-2.2%
$453.76M-1.0%$458.26M-1.2%$463.95M-4.2%$484.54M-1.1%$489.76M+28.0%
$69.04M0.0%$69.04M0.0%$69.04M0.0%$69.04M0.0%$69.04M0.0%
$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M0.0%
$47.77M+12.0%$42.67M-41.4%$72.82M+34.7%$54.07M+30.8%$41.33M-3.7%
$4.24M+51.8%$2.79M+48.6%$1.88M+0.1%$1.88M+1.8%$1.85M0.0%
$7.74M-3.1%$7.98M+1.3%$7.88M+11.2%$7.09M+8.2%$6.55M-4.7%
$1.96B+7.3%$1.82B+8.5%$1.68B+0.6%$1.67B-4.0%$1.74B+9.5%
$17.05M-38.2%$27.58M+93.3%$14.27M+17.9%$12.1M-41.8%$20.78M-23.4%
$57.25M+14.1%$50.16M+41.1%$35.56M-34.6%$54.36M+25.4%$43.34M-2.8%
$287.22M+14.9%$250.01M-12.5%$285.68M+24.9%$228.64M-1.0%$230.87M+2.9%
$30.47M0.0%$30.47M0.0%$30.47M0.0%$30.47M+7.1%$28.44M+16.7%
$44.34M+7.6%$41.21M+27.6%$32.31M-7.9%$35.1M+21.1%$28.98M+8.4%
$293.47M+14.4%$256.54M-12.3%$292.61M+24.0%$236.04M-0.9%$238.29M+6.2%
$753.21M+21.8%$618.49M+12.9%$547.66M+9.0%$502.4M-6.5%$537.57M+7.2%
$547.45M-1.3%$554.57M-4.7%$581.68M+2.3%$568.78M-1.5%$577.41M-1.2%
$564.94M-0.8%$569.24M-0.3%$570.77M+0.8%$566.48M-0.6%$569.76M+25.7%
$601.58M
$43.67M-3.1%$45.07M-1.0%$45.52M+0.1%$45.48M+0.7%$45.14M+17.1%
$1.91B+6.8%$1.79B+2.4%$1.75B+3.7%$1.68B-2.7%$1.73B+9.6%
$54.39M+14.0%$47.71M+22.9%$38.8M-13.5%$44.84M+11.6%$40.18M+15.9%
$229.21M+2.3%$224.1M+70.6%$131.38M-14.1%$153.03M-15.1%$180.21M+4.7%
-$30.92M+0.6%-$31.12M+0.6%-$31.31M+0.6%-$31.5M-1.0%-$31.19M+1.1%
$205.2M0.0%$205.2M0.0%$205.2M+13.9%$180.2M0.0%$180.2M+8.9%
$48.01M+33.3%$36.01M+155%-$65.8M-395%-$13.3M-240%$9.53M-7.8%
$1.96B+7.3%$1.82B+8.5%$1.68B+0.6%$1.67B-4.0%$1.74B+9.5%
$3.89M-15.5%$4.6M-47.2%$8.72M+121%$3.94M+6.7%$3.69M-22.9%
$185.73M+14.4%$162.29M+21.7%$133.39M-4.8%$140.18M-0.5%$140.91M+18.3%
$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M0.0%
$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M0.0%
$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M0.0%
$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M0.0%
$453.76M-1.0%$458.26M-1.2%$463.95M-4.2%$484.54M-1.1%$489.76M+28.0%
$11.09M+3.3%$10.73M+88.0%$5.71M+0.4%$5.68M-10.7%$6.37M+0.7%
$47.77M+12.0%$42.67M-41.4%$72.82M+34.7%$54.07M+30.8%$41.33M-3.7%
$7.74M-3.1%$7.98M+1.3%$7.88M+11.2%$7.09M+8.2%$6.55M-4.7%
$453.76M-1.0%$458.26M-1.2%$463.95M-4.2%$484.54M-1.1%$489.76M+28.0%
$185.73M+14.4%$162.29M+21.7%$133.39M-4.8%$140.18M-0.5%$140.91M+18.3%
$453.76M-1.0%$458.26M-1.2%$463.95M-4.2%$484.54M-1.1%$489.76M+28.0%
$185.73M+14.4%$162.29M+21.7%$133.39M-4.8%$140.18M-0.5%$140.91M+18.3%
$57.25M+14.1%$50.16M+41.1%$35.56M-34.6%$54.36M+25.4%$43.34M-2.8%
$61.68M-26.8%$84.24M+134%$36.03M-13.1%$41.45M-3.1%$42.78M-29.7%
$340.09M+49.2%$227.94M+48.2%$153.77M-16.6%$184.36M+5.1%$175.47M+2.2%
$61.68M-26.8%$84.24M+134%$36.03M-13.1%$41.45M-3.1%$42.78M-29.7%
$57.25M+14.1%$50.16M+41.1%$35.56M-34.6%$54.36M+25.4%$43.34M-2.8%
$8.38M$248K$0-100%
$8.61M-5.4%$9.1M-5.3%$9.61M-5.1%$10.13M+33.4%$7.59M-9.9%
$1.19B-0.7%$1.2B-1.6%$1.22B+1.2%$1.2B-0.3%$1.2B+10.6%
$556.06M-1.4%$563.67M-4.7%$591.29M+2.1%$578.91M-1.0%$585M-1.4%
$54.39M+14.0%$47.71M+22.9%$38.8M-13.5%$44.84M+11.6%$40.18M+15.9%
38%-8.0%46%-8.0%54%40%-9.0%
$204.11M+209%$65.97M-2.9%$67.91M-11.2%$76.46M+11.5%$68.58M+75.0%
$94.22M-23.0%$122.39M+51.8%$80.64M+16.0%$69.51M-26.0%$93.88M-7.5%
$293.47M+14.4%$256.54M-12.3%$292.61M+24.0%$236.04M-0.9%$238.29M+6.2%
$556.06M-1.4%$563.67M-4.7%$591.29M+2.1%$578.91M-1.0%$585M-1.4%
$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M0.0%
$4.24M+51.8%$2.79M+48.6%$1.88M+0.1%$1.88M
$53.74M-7.6%$58.18M-27.4%$80.15M+29.3%$62M-0.5%$62.29M+5.2%
$8.38M$248K$0-100%
$585.87M-6.1%$623.78M+0.4%$621.15M$577.89M-2.6%
$6.11M0.0%$6.11M0.0%$6.11M+11.4%$5.48M0.0%$5.48M+8.6%
$162.67M+15.5%$140.78M+19.4%$117.92M-6.1%$125.53M-0.5%$126.15M+21.3%

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Questions, answered.

Can Madison Square Garden Entertainment cover its short-term obligations?
Its current ratio is 0.72 — current liabilities exceed current assets.
Where does Madison Square Garden Entertainment's balance sheet data come from?
Every line is extracted from Madison Square Garden Entertainment'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.