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OneSpan OSPN Balance Sheet Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$49.75M-29.4%$70.5M-17.6%$85.55M-7.9%$92.89M-11.9%$105.38M+26.5%
$33.25M-40.6%$56M+104%$27.48M-21.6%$35.06M+18.5%$29.6M-47.4%
$9.14M-12.7%$10.47M-6.9%$11.24M-1.8%$11.45M+3.8%$11.03M+2.2%
$3.64M-10.9%$4.09M-11.9%$4.64M-13.1%$5.34M+14.6%$4.66M+6.3%
$5.49M-13.8%$6.37M-3.3%$6.59M+8.0%$6.1M-4.1%$6.37M-0.6%
$5.27M+0.8%$5.22M+8.6%$4.81M+4.4%$4.61M+1.5%$4.54M-30.6%
$13.54M-25.9%$18.27M+9.3%$16.72M+16.4%$14.37M+35.7%$10.59M+21.9%
$122.88M-28.6%$172.21M+9.3%$157.53M-7.1%$169.48M-0.6%$170.56M-2.5%
$22.9M+3.0%$22.23M+4.1%$21.37M0.0%$21.37M+1.3%$21.11M+0.7%
$28.2M+8.6%$25.97M+8.7%$23.9M+8.2%$22.08M+10.9%$19.91M+9.7%
6%-735,599,994%735,600,000%+735,599,994%6%0.0%6%0.0%6%-772,499,994%
$128.14M+23.4%$103.84M+1.5%$102.29M-0.9%$103.26M+9.6%$94.2M+2.0%
$16.48M+69.2%$9.74M-2.4%$9.98M-6.5%$10.68M+54.2%$6.92M-7.5%
$989K+0.1%$988K-2.0%$1.01M-75.7%$4.15M+10.0%$3.77M+2.5%
$11.95M-4.9%$12.56M+7.8%$11.65M+0.9%$11.54M-3.5%$11.96M-19.1%
$11.83M0.0%$11.83M
$383.15M-3.7%$397.7M+15.8%$343.52M-3.8%$357.1M+7.0%$333.81M-1.5%
$11.12M-19.0%$13.73M+32.3%$10.38M-33.7%$15.64M+30.3%$12.01M-9.8%
$11.97M-11.7%$13.55M+20.1%$11.29M+13.9%$9.91M+3.9%$9.54M-30.8%
$8K-81.0%$42K+23.5%$34K+88.9%$18K-5.3%$19K-90.5%
$60.73M-15.2%$71.64M+41.8%$50.54M-7.2%$54.46M+5.0%$51.85M-23.1%
$2.16M-4.5%$2.26M-2.7%$2.32M-2.4%$2.38M+19.2%$2M-15.1%
$2.4M-5.7%$2.54M-9.9%$2.82M-4.0%$2.94M+0.1%$2.93M-13.5%
$1.75M-43.2%$3.08M-67.0%$9.34M+64.1%$5.69M-7.7%$6.17M+40.0%
$671K0.0%$671K+19.0%$564K+30.9%$431K+123%$193K-95.9%
$5.63M+56.3%$3.6M-14.6%$4.22M-15.8%$5.01M+22.9%$4.08M+106%
$98M-14.5%$114.57M+27.3%$90.03M-5.8%$95.58M+9.8%$87.04M-21.1%
$7.96M-5.3%$8.4M-4.3%$8.78M-6.7%$9.41M+5.7%$8.91M-4.1%
$3.95M+143%$1.62M-66.9%$4.89M-0.2%$4.9M+140%$2.04M+6.0%
$0$0$0$0$0
$0$0$0$0$0
75M0.0%75M0.0%75M0.0%75M0.0%75M+197,268%
$129.54M+0.7%$128.65M+0.7%$127.73M+1.1%$126.36M+1.9%$123.98M+1.2%
$216.42M+3.1%$209.82M+22.7%$170.94M+1.0%$169.24M+2.1%$165.75M+9.6%
-$8.06M-31.2%-$6.15M+8.3%-$6.7M-16.7%-$5.75M+49.0%-$11.27M+19.0%
$65.92M+8.9%$60.52M+12.8%$53.68M+13.3%$47.38M0.0%$47.38M0.0%
$272.02M+0.1%$271.84M+14.1%$238.32M-1.7%$242.51M+4.9%$231.12M+8.7%
$383.15M-3.7%$397.7M+15.8%$343.52M-3.8%$357.1M+7.0%$333.81M-1.5%
$1.2M-1.9%$1.23M+74.3%$704K-46.5%$1.32M+14.7%$1.15M-28.3%
$1.2M-1.9%$1.23M+74.3%$704K-46.5%$1.32M+14.7%$1.15M-28.3%
$5.27M+0.8%$5.22M+8.6%$4.81M+4.4%$4.61M+1.5%$4.54M+1.4%
$5.27M+0.8%$5.22M+8.6%$4.81M+4.4%$4.61M+1.5%$4.54M+1.4%
$5.49M-13.8%$6.37M-3.3%$6.59M+8.0%$6.1M-4.1%$6.37M-0.6%
$3.64M-10.9%$4.09M-11.9%$4.64M-13.1%$5.34M+14.6%$4.66M+6.3%
$10.06M+1.2%$9.94M+2.8%$9.67M+10.8%$8.72M+11.7%$7.81M-17.6%
$14.69M-6.8%$15.75M+0.6%$15.66M+3.6%$15.12M+20.1%$12.59M-14.9%
$63.48M+13.8%$55.79M+5.1%$53.07M-0.2%$53.2M+10.2%$48.26M+0.5%
$7.15M-2.8%$7.36M-4.4%$7.7M-6.2%$8.21M+4.4%$7.87M+1.8%
$11.95M-4.9%$12.56M+7.8%$11.65M+0.9%$11.54M-3.5%$11.96M-3.8%
$59.07M+7.9%$54.73M+88.8%$28.99M0.0%$28.98M+40.9%$20.57M+0.3%
$16.48M+69.2%$9.74M-2.4%$9.98M-6.5%$10.68M+54.2%$6.92M-7.5%
$7.15M-2.8%$7.36M-4.4%$7.7M-6.2%$8.21M+4.4%$7.87M+1.8%
$14.69M-6.8%$15.75M+0.6%$15.66M+3.6%$15.12M+20.1%$12.59M-14.9%
$51.11M+6.0%$48.2M+6.5%$45.27M+4.2%$43.45M+5.9%$41.02M+4.9%
$7.15M-2.8%$7.36M-4.4%$7.7M-6.2%$8.21M+4.4%$7.87M+1.8%
$14.69M-6.8%$15.75M+0.6%$15.66M+3.6%$15.12M+20.1%$12.59M-14.9%
$11.97M-11.7%$13.55M+20.1%$11.29M+13.9%$9.91M+3.9%$9.54M-30.8%
$2.4M-5.7%$2.54M-9.9%$2.82M-4.0%$2.94M+0.1%$2.93M-13.5%
$1.75M-43.2%$3.08M-67.0%$9.34M+64.1%$5.69M-7.7%$6.17M+40.0%
$11.97M-11.7%$13.55M+20.1%$11.29M+13.9%$9.91M+3.9%$9.54M-30.8%
$1.94M$694K-52.6%$1.47M-17.8%$1.78M
$2.15M$2.12M-0.7%$2.13M+9.6%$1.95M
$490K$1.16M-0.7%$1.17M+11.8%$1.05M
$2.15M$2.12M-0.7%$2.13M+9.6%$1.95M
$1.2M$2M-0.7%$2.02M+9.6%$1.84M
$490K$1.16M-0.7%$1.17M+11.8%$1.05M
$2.26M$2.6M+1.8%$2.55M+9.1%$2.34M
$1.08M$1.28M-9.3%$1.41M+0.5%$1.4M
$519K-52.0%$1.08M+23.7%$875K-37.6%$1.4M+92.7%$728K-17.4%
$741K-66.5%$2.21M+368%$473K-24.2%$624K+35.7%$460K-59.2%
$2.4M-5.7%$2.54M-9.9%$2.82M-4.0%$2.94M+0.1%$2.93M-13.5%
$1.2M$2M-0.7%$2.02M+9.6%$1.84M
$490K$1.16M-0.7%$1.17M+11.8%$1.05M
$2.4M-5.7%$2.54M-9.9%$2.82M-4.0%$2.94M+0.1%$2.93M-13.5%
$7.96M-5.3%$8.4M-4.3%$8.78M-6.7%$9.41M+5.7%$8.91M-4.1%
$0.000.0%$0.000.0%$0.000.0%$0.000.0%$0.000.0%
42.2M+0.3%42.1M-0.1%42.1M+0.4%42M+0.2%41.9M+0.2%
500K0.0%500K0.0%500K0.0%500K0.0%500K0.0%
00000
00000
$129.54M+0.7%$128.65M+0.7%$127.73M+1.1%$126.36M+1.9%$123.98M+1.2%
$37K0.0%$37K-2.6%$38K0.0%$38K0.0%$38K0.0%
$0$0$0$0$0
$31.5M$43.7M
$31.5M$43.7M
$51.11M+6.0%$48.2M+6.5%$45.27M+4.2%$43.45M+5.9%$41.02M+4.9%
$519K-52.0%$1.08M+23.7%$875K-37.6%$1.4M+92.7%$728K-17.4%
$2.7M0.0%$2.7M
$1.2M-1.9%$1.23M+74.3%$704K-46.5%$1.32M+14.7%$1.15M-28.3%
$00.0%$00.0%$00.0%$00.0%$00.0%
$75M0.0%$75M0.0%$75M0.0%$75M0.0%$75M0.0%
$42.22M+0.3%$42.09M-0.1%$42.13M+0.4%$41.98M+0.2%$41.88M+0.2%
$36.98M-1.0%$37.36M-1.6%$37.95M-0.8%$38.25M+0.2%$38.16M+0.3%
$63.13M-14.9%$74.18M+39.0%$53.35M-7.0%$57.4M+4.8%$54.78M-22.7%
$989K+0.1%$988K-2.0%$1.01M-75.7%$4.15M+10.0%$3.77M+2.5%
$11.83M0.0%$11.83M
$47M+2.1%$46.05M+6.9%$43.09M+1.3%$42.52M+2.9%$41.34M+2.0%
$63.48M+13.8%$55.79M+5.1%$53.07M-0.2%$53.2M+10.2%$48.26M+0.5%
$1.01M$1.48M-0.1%$1.48M+9.5%$1.35M
$1.08M$1.28M-9.3%$1.41M+0.5%$1.4M
120
330.0%30.0%3
2
$5.8M-5.6%$6.14M-4.8%$6.45M-8.2%$7.03M+1.8%$6.91M-0.3%
$0.06$0.060.0%$0.060.0%$0.06
$11.75M-0.9%$11.86M+50.3%$7.89M-16.2%$9.42M+29.7%$7.26M+14.6%
$5.63M+56.3%$3.6M-14.6%$4.22M-15.8%$5.01M+22.9%$4.08M+106%
60%
$500K0.0%$500K0.0%$500K0.0%$500K0.0%$500K0.0%
$0$0$0$0$0
$0$0$0$0$0
$7.15M+1.5%$7.04M+2.4%$6.88M-1.7%$7M+10.6%$6.33M-3.4%
$47.4M$18.92M-44.2%$33.9M-27.5%$46.74M
$31.5M$43.7M
$5.24M+10.7%$4.73M+13.4%$4.17M+12.0%$3.72M0.0%$3.72M0.0%
$1.94M$694K-52.6%$1.47M-17.8%$1.78M

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Questions, answered.

What are OneSpan's total assets?
OneSpan (OSPN) holds $383.1M in total assets, up 14.8% year over year.
How much debt does OneSpan have?
OneSpan carries $8.0M in total debt against $272.0M of shareholders' equity, a debt-to-equity ratio of 0.03.
How much cash does OneSpan have?
OneSpan holds $49.8M in cash and equivalents.
Can OneSpan cover its short-term obligations?
Its current ratio is 1.25 — current assets exceed current liabilities.
Where does OneSpan's balance sheet data come from?
Every line is extracted from OneSpan'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.