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FY'25FY'24FY'23FY'22
$43.54M+29.8%$33.56M-60.2%$84.36M+34.8%$62.57M-80.3%
$521K+73.7%$300K-96.4%$8.27M+84.9%$4.47M
$340.24M-12.3%$387.98M$128.65M
$3.75M-3.1%$3.87M+51.4%$2.56M-7.1%$2.75M
$408.75M+18.2%$345.86M+120%$157.44M+41.5%$111.25M+926%
$7.65M-2.5%$7.84M-30.3%$11.25M+105%$5.5M
$237.13M+8.2%$219.08M-25.8%$295.28M-13.5%$341.45M
$621.08M-2.0%$633.53M+0.7%$628.89M-9.7%$696.08M
$484.54M+24.7%$388.66M+64.8%$235.79M+492,254,697,186%$0.05
$69.04M0.0%$69.04M0.0%$69.04M0.0%$69.04M
$63.8M0.0%$63.8M0.0%$63.8M+3,795%$1.64M
$220.04M+57.8%$139.43M+197%$46.9M+272%$12.62M+2,130%
$1.88M-98.3%$110.28M+1.8%$108.36M-0.6%$108.98M
$7.09M+12.2%$6.32M-82.0%$35.07M
$1.67B+7.5%$1.55B+10.8%$1.4B-8.2%$1.53B
$12.1M-54.5%$26.59M+70.2%$15.63M+39.0%$11.24M
$54.36M+27.9%$42.51M-10.1%$47.28M-46.6%$88.5M
$228.64M+6.1%$215.58M-4.5%$225.86M+11.4%$202.68M
$30.47M+87.5%$16.25M0.0%$16.25M+85.5%$8.76M
$35.1M+26.6%$27.74M-24.1%$36.53M-6.4%$39.01M
$236.04M+9.5%$215.58M
$502.4M-0.7%$505.82M-6.4%$540.64M-0.8%$545.09M
$568.78M-5.1%$599.25M-4.9%$630.18M-3.8%$654.91M
$566.48M+32.7%$427.01M+94.1%$219.96M-13.4%$254.11M
$601.58M+32.3%$454.75M+77.3%$256.48M-12.5%$293.12M
$45.48M+3.9%$43.79M-22.3%$56.33M+10.6%$50.92M
$1.68B+6.8%$1.58B+7.2%$1.47B-3.8%$1.53B
$44.84M+33.9%$33.48M+88.9%$17.73M$0
$153.03M+32.4%$115.6M+503%-$28.7M$0
-$31.5M+2.4%-$32.26M+5.2%-$34.02M+2.1%-$34.74M
$180.2M+28.2%$140.51M+462%$25M$0
-$13.3M+42.6%-$23.17M+66.7%-$69.47M-4,610%-$1.48M-100%
$1.67B+7.5%$1.55B+10.8%$1.4B-8.2%$1.53B
$3.94M-23.1%$5.13M-0.7%$5.16M-15.7%$6.12M
$140.18M+27.1%$110.28M+1,784%$5.85M-18.5%$7.18M
$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M
$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M
$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M
$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M
$484.54M+24.7%$388.66M+64.8%$235.79M-13.0%$271.15M
$5.68M+55.7%$3.65M-11.4%$4.12M+11.6%$3.69M
$54.07M-20.8%$68.31M$0
$7.09M+12.2%$6.32M-82.0%$35.07M
$484.54M+24.7%$388.66M+64.8%$235.79M-13.0%$271.15M
$140.18M+27.1%$110.28M+1.8%$108.36M+29.7%$83.54M
$484.54M+24.7%$388.66M+64.8%$235.79M-13.0%$271.15M
$140.18M+27.1%$110.28M+1.8%$108.36M+29.7%$83.54M
$54.36M-23.6%$71.15M+10.2%$64.53M-27.1%$88.5M
$41.45M+8.2%$38.31M-13.0%$44.03M+0.5%$43.79M
$184.36M-9.5%$203.75M-5.1%$214.73M-3.3%$221.96M
$41.45M+8.2%$38.31M-13.0%$44.03M+0.5%$43.79M
$54.36M-23.6%$71.15M+10.2%$64.53M-27.1%$88.5M
$248K-96.5%$7.14M+182%$2.53M-21.2%$3.21M
$10.13M0.0%$10.13M-21.2%$12.85M-20.0%$16.06M
$1.2B+12.2%$1.07B+18.5%$902.92M-5.6%$956.79M
$578.91M-5.0%$609.38M-5.2%$643.03M-4.2%$670.98M
$44.84M+33.9%$33.48M+88.9%$17.73M$0
$76.46M+12.9%$67.7M-25.2%$90.54M+15.4%$78.43M
$69.51M-6.2%$74.11M
$236.04M+9.5%$215.58M
$578.91M-5.0%$609.38M-5.2%$643.03M-4.2%$670.98M
$63.8M0.0%$63.8M0.0%$63.8M0.0%$63.8M
$1.88M
$62M+14.1%$54.33M+27.0%$42.77M
$248K-96.5%$7.14M+182%$2.53M-21.2%$3.21M
$167.46M
$5.48M+25.6%$4.37M+420%$840K
$125.53M+27.5%$98.47M+46.3%$67.33M+65.1%$40.78M

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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.