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Otter Tail OTTR Balance Sheet Statement

FY'25FY'24FY'23FY'22
$386.19M+31.1%$294.65M+27.9%$230.37M+93.6%$119M+7,642%
$54.31M+7,113%$753K$0
$110.18M-1.8%$112.17M-13.2%$129.26M+15.3%$112.13M-21.2%
$158.6M+6.5%$148.89M-0.5%$149.7M+2.6%$145.95M-1.7%
$90.72M+9.4%$82.9M+9.5%$75.73M+7.6%$70.37M-3.4%
$25.38M+12.1%$22.64M-14.1%$26.35M-17.0%$31.77M-11.0%
$42.5M-2.0%$43.35M-9.0%$47.61M+8.7%$43.81M+9.8%
$34.69M+16.3%$29.83M+77.3%$16.83M-8.6%$18.41M+8.1%
$124K$0-100%$4.2M
$799.73M+26.9%$630.04M+10.5%$570.17M+25.9%$452.75M+22.6%
$171.43M-93.6%$2.69B+11.3%$2.42B+9.3%$2.21B+4.1%
$245.88M
$3.37B
$37.57M0.0%$37.57M0.0%$37.57M0.0%$37.57M0.0%
$4.64M-19.2%$5.74M-16.1%$6.84M-13.8%$7.94M-12.2%
$305.93M+14.3%$267.75M+12.8%$237.27M+7.2%$221.3M+17.5%
$80.77M+21.6%$66.42M+29.3%$51.38M+24.8%$41.18M+28.4%
$78.82M-35.0%$121.18M+93.8%$62.52M+14.0%$54.85M-3.3%
$133.13M+9.2%$121.93M+95.0%$62.52M+14.0%$54.85M-3.3%
$16.73M+57.0%$10.65M
$49.26M+2.8%$47.9M+13.3%$42.29M+8.5%$38.99M-5.1%
$20.44M+105%$9.96M-38.2%$16.13M-35.5%$25M-8.6%
$233.98M
$3.16B+4.7%$3.02B+13.1%$2.67B+9.1%$2.45B+2.7%
$3.96B+8.5%$3.65B+12.6%$3.24B+11.7%$2.9B+5.3%
$93.61M-17.6%$113.57M+20.3%$94.43M-9.6%$104.4M-22.7%
$35.67M+3.7%$34.4M-9.8%$38.13M+18.0%$32.33M+2.0%
$60.24M-13.5%$69.62M-14.5%$81.42M+892%$8.2M-91.0%
$60.24M-13.5%$69.62M-14.5%$81.42M+892%$8.2M-91.0%
$350.96M+13.3%$309.79M0.0%$309.76M+30.3%$237.64M-38.7%
$963.57M+2.1%$943.73M+14.5%$824.06M0.0%$823.82M+12.2%
$100K$100K
$106.16M+7.9%$98.4M+29.5%$75.98M+24.6%$60.99M-2.5%
$16.6M-43.4%$29.31M+15.3%$25.41M+46.9%$17.3M-30.4%
$788M+7.9%$730.06M+9.7%$665.75M+6.9%$622.89M-3.0%
50M-76.1%209.1M+0.3%208.6M+0.2%208.2M+0.2%
$434.2M+1.2%$429.09M+0.5%$426.96M+0.9%$423.03M+0.8%
$1.22B+18.2%$1.03B+27.7%$806.34M+37.8%$585.21M+58.3%
$470K-11.7%$532K-53.7%$1.15M+25.5%$915K+114%
$1.86B+11.6%$1.67B+15.6%$1.44B+18.5%$1.22B+22.9%
$3.96B+8.5%$3.65B+12.6%$3.24B+11.7%$2.9B+5.3%
$63.93M+2.2%$62.52M
$1.65M-14.3%$1.92M-23.9%$2.52M+53.0%$1.65M-10.2%
$1.65M-14.3%$1.92M-23.9%$2.52M+53.0%$1.65M-10.2%
$64.46M+2.7%$62.76M+575%$9.3M+6.2%$8.76M-4.8%
$54.31M$0
$124K$0
$42.5M-2.0%$43.35M-9.0%$47.61M+8.7%$43.81M+9.8%
$90.72M+9.4%$82.9M
$34.69M+16.3%$29.83M+77.3%$16.83M-8.6%$18.41M+8.1%
$124K$0
$0$0
$12.09M-12.4%$13.8M+51.9%$9.08M-9.0%$9.98M-5.7%
$24.87M+13.5%$21.92M+2.8%$21.32M-10.9%$23.93M+0.1%
$80.77M+21.6%$66.42M+29.3%$51.38M+24.8%$41.18M+28.4%
$0$0
$16.73M+57.0%$10.65M
$16.73M+57.0%$10.65M
$63.93M+2.2%$62.52M
$4.64M-19.2%$5.74M-16.1%$6.84M-13.8%$7.94M-12.2%
$133.13M+9.2%$121.93M+95.0%$62.52M+14.0%$54.85M-3.3%
$78.82M-35.0%$121.18M+93.8%$62.52M+14.0%$54.85M-3.3%
$80.77M+21.6%$66.42M+29.3%$51.38M+24.8%$41.18M+28.4%
$417.31M
$2.88B+6.8%$2.69B+11.3%$2.42B
$2.71B
$54.31M+7,113%$753K
$27K0.0%$27K-10.0%$30K0.0%$30K+3.4%
$80.77M+21.6%$66.42M+29.3%$51.38M+24.8%$41.18M+28.4%
$35.67M+3.7%$34.4M-9.8%$38.13M+18.0%$32.33M+2.0%
$35.67M+3.7%$34.4M-9.8%$38.13M+18.0%$32.33M+2.0%
$46.43M+1.9%$45.58M+4.1%$43.78M-21.9%$56.07M+0.7%
5.1%-0.5%5.6%
$31.81M+16.2%$27.39M-1.1%$27.68M-41.1%$46.98M-29.3%
$3.48M+6.6%$3.27M+11.1%$2.94M-7.5%$3.18M+5.9%
$32.38M-0.7%$32.61M-1.5%$33.1M-0.3%$33.21M-55.1%
$31.81M+16.2%$27.39M-1.1%$27.68M-41.1%$46.98M-29.3%
$31.81M+16.2%$27.39M-1.1%$27.68M-41.1%$46.98M-29.3%
$1.05B+0.9%$1.04B+12.9%$922.5M+8.4%$850.97M+0.7%
$1.05B+10.6%$947M
$5.000.0%$5.000.0%$5.000.0%$5.000.0%
$434.2M+1.2%$429.09M+0.5%$426.96M+0.9%$423.03M+0.8%
$209.53M+0.2%$209.14M+0.3%$208.55M+0.2%$208.16M+0.2%
$539K+24.5%$433K
$9K-95.4%$194K
$63.93M+2.2%$62.52M
$319.3M+2.5%$311.61M+24.9%$249.45M-22.6%$322.22M+36.7%
$145.5M-0.3%$145.96M-7.1%$157.14M+8.8%$144.39M-17.5%
$14.32M-4.5%$14.99M-1.2%$15.17M-4.7%$15.92M-4.5%
$1.65M-14.3%$1.92M-23.9%$2.52M+53.0%$1.65M-10.2%
$43.99M
$9K-95.4%$194K
$539K+24.5%$433K
$63.93M+2.2%$62.52M
$64.46M+2.7%$62.76M+575%$9.3M+6.2%$8.76M-4.8%
$50.0%$50.0%$50.0%$50.0%
$50M0.0%$50M0.0%$50M0.0%$50M0.0%
$41.91M+0.2%$41.83M+0.3%$41.71M+0.2%$41.63M+0.2%
$1.05B+10.6%$947M
$3.48M+6.6%$3.27M+11.1%$2.94M-7.5%$3.18M+5.9%
$0.05-9.4%$0.06
$305.93M+14.3%$267.75M+12.8%$237.27M+7.2%$221.3M+17.5%
$32.38M-0.7%$32.61M-1.5%$33.1M-0.3%$33.21M-55.1%
$0$0
$49.26M+2.8%$47.9M+13.3%$42.29M+8.5%$38.99M-5.1%
$2.67M+347%$596K-80.9%$3.13M+100%$1.56M+64.4%
$12.39M
$404.92M
$3.6B
$24.87M+13.5%$21.92M+2.8%$21.32M-10.9%$23.93M+0.1%

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Questions, answered.

Can Otter Tail cover its short-term obligations?
Its current ratio is 2.04 — current assets exceed current liabilities.
Where does Otter Tail's balance sheet data come from?
Every line is extracted from Otter Tail'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.