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NextNav NN Balance Sheet Statement

FY'25FY'24FY'23FY'22
$44.76M+13.8%$39.33M-52.0%$81.88M+73.4%$47.23M-52.8%
$107.38M+163%$40.79M+931%$3.95M-51.9%$8.22M
$2.35M-28.9%$3.3M+41.6%$2.33M+7.6%$2.17M+24.6%
$2.93M+11.3%$2.63M-14.0%$3.06M-14.5%$3.58M-20.8%
$157.41M+82.9%$86.05M-5.7%$91.22M+49.1%$61.19M-42.5%
$14.86M-14.5%$17.37M-9.9%$19.27M+90.0%$10.14M
$19.16M+12.9%$16.97M-5.6%$17.98M+2.8%$17.49M
$42.17M+340%$9.59M-9.8%$10.63M+2.2%$10.4M+154%
$11.76M-34.6%$17.97M-16.6%$21.56M+12.4%$19.18M+363%
$16.46M+20.0%$13.72M+41.1%$9.72M+62.9%$5.97M+120%
$247.02M+52.7%$161.74M-0.3%$162.16M+31.0%$123.79M-9.5%
$4.24M+1.2%$4.19M+47.4%$2.84M-30.9%$4.11M+158%
$5.23M+8.1%$4.84M+23.6%$3.91M+60.8%$2.43M+282%
$491K+70.5%$288K-3.0%$297K+213%$95K-94.2%
$2.67M+8.6%$2.46M-2.4%$2.52M-0.4%$2.53M
$491K+70.5%$288K-3.0%$297K+213%$95K+5,838%
$792K+35.8%$583K0.0%$583K
$12.39M+2.0%$12.14M+23.9%$9.8M+10.3%$8.89M+33.0%
$273.59M+401%$54.62M+12.7%$48.45M+3,032%$1.55M+18.0%
$12.34M-14.0%$14.35M-5.2%$15.15M+186%$5.29M+235%
$1.78M-1.1%$1.8M+11.2%$1.61M+4.3%$1.55M+18.0%
$333.25M+199%$111.62M+36.0%$82.06M+312%$19.92M-46.0%
500M+3,571,329%14K+16.7%12K-98.9%1.1M-99.8%
$961.99M+5.5%$912.24M+8.9%$837.42M+6.4%$787.13M+5.2%
-$1.05B-22.0%-$862.11M-13.4%-$760.23M-10.4%-$688.49M-6.3%
$3.81M+473%$665K-69.7%$2.2M+60.3%$1.37M+1,233%
$693K0.0%$693K+4.2%$665K+16,525%$4K
-$86.24M-272%$50.12M-36.3%$78.73M-21.3%$100.02M+0.1%
$247.02M+52.7%$161.74M-0.3%$162.16M+31.0%$123.79M-9.5%
$0$0$0$0
$0$0$0$0
$55.4M
$2.93M+11.3%$2.63M-14.0%$3.06M-14.5%$3.58M-20.8%
$0$0$0$0
$1.66M-88.0%$13.8M+815%$1.51M+1,200%$116K-97.2%
$506K
$3.97M
$48.33M+244%$14.06M+1.0%$13.92M
$14.86M-14.5%$17.37M-9.9%$19.27M+90.0%$10.14M
$10.63M+2.2%$10.4M+154%
$42.17M+340%$9.59M-9.8%$10.63M
$14.86M-14.5%$17.37M-9.9%$19.27M+90.0%$10.14M
$1.66M-88.0%$13.8M+815%$1.51M-16.7%$1.81M-56.3%
$11.76M-34.6%$17.97M-16.6%$21.56M+12.4%$19.18M-11.8%
$107.38M+163%$40.79M+931%$3.95M-51.9%$8.22M
$14.86M-14.5%$17.37M-9.9%$19.27M+90.0%$10.14M
$1.66M-88.0%$13.8M+815%$1.51M-16.7%$1.81M-25.5%
$8.56M+0.3%$8.54M+29.5%$6.59M+25.8%$5.24M+13.9%
$5.23M+8.1%$4.84M+23.6%$3.91M+61.7%$2.42M-0.1%
$491K+70.5%$288K-3.0%$297K+213%$95K-94.2%
$5.23M+8.1%$4.84M+23.6%$3.91M+61.7%$2.42M-0.1%
$372K-70.6%$1.27M+291%$324K-16.3%$387K-74.9%
$288.6M+304%$71.44M+8.0%$66.12M+606%$9.37M+224%
135.5M+3.2%131.3M+18.0%111.3M+4.6%106.4M+10.2%
$0$0$0$0
$961.99M+5.5%$912.24M+8.9%$837.42M+6.4%$787.13M+5.2%
$15K+7.1%$14K+16.7%$12K0.0%$12K+9.1%
$693K0.0%$693K+4.2%$665K+16,525%$4K
$372K-70.6%$1.27M+291%$324K-16.3%$387K-74.9%
$0$0$0$0
$500M0.0%$500M0.0%$500M0.0%$500M0.0%
$135.5M+3.2%$131.27M+18.0%$111.26M+4.6%$106.42M+10.2%
$135.37M+3.2%$131.14M+18.0%$111.13M+4.4%$106.42M+10.2%
$491K+70.5%$288K-3.0%$297K+213%$95K+5,838%
$6.17M+37.9%$4.47M+35.8%$3.29M+49.0%$2.21M+22.5%
$887K
$506K
$887K
$681K
$3.97M
$0$0$0$0
$48.33M+244%$14.06M+1.0%$13.92M
$2.17M+17.1%$1.85M+4.4%$1.77M-27.2%$2.43M+282%
$132.23K0.0%$132.23K+2.3%$129.21K+10,878%$1.18K
$33.17M+15.5%$28.71M

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Questions, answered.

Can NextNav cover its short-term obligations?
Its current ratio is 10.49 — current assets exceed current liabilities.
Where does NextNav's balance sheet data come from?
Every line is extracted from NextNav'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.