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TTM Q1 '26TTM Q4 '25TTM Q3 '25TTM Q2 '25TTM Q1 '25
$57.86M-4.7%$65.26M+13.3%$58.3M-27.3%$56.64M-44.4%$60.73M-23.5%
$219.69M-22.8%$215.8M-35.5%$242.19M-38.4%$259.93M-36.6%$284.6M-41.4%
$19K-97.2%$20K-97.1%$300K-56.5%$300K-12.3%$690K+130%
$29.35M-7.3%$35.45M+28.8%$30.62M+4.2%$32.26M-0.5%$31.65M+4.4%
$79.92M-3.5%$81.4M-0.2%$83.41M+26.9%$87.63M+27.7%$82.82M+23.0%
$34.74M-21.9%$38.64M-14.6%$41.79M+36.1%$45.97M+53.6%$44.48M+80.6%
$27.35M+9.8%$27.05M+22.0%$25.19M+37.7%$26.91M+24.0%$24.91M-5.3%
$17.84M+32.8%$15.71M+11.6%$16.44M-1.9%$14.75M-13.1%$13.43M-18.2%
$13.16M-14.9%$10.79M-42.5%$11.51M-33.4%$12.27M-27.7%$15.47M-9.8%
$369.52M-16.9%$375.05M-24.3%$394.24M-32.5%$413.4M-34.2%$444.92M-34.3%
$24.38M-1.7%$24.15M-20.8%$22.13M-30.7%$23.1M-33.8%$24.79M-33.5%
$407.44M+1.0%$406.42M+999%$405.4M+1,246%$404.38M+1,638%$403.36M+2,358%
$40.85M+40,441,584,058%$41.7M+159%$42.58M+146%$43.5M+94.3%$0.1-100.0%
$317.76M0.0%$317.76M0.0%$317.76M-13.9%$317.76M-13.9%$317.76M-31.3%
$14.1M-22.4%$15.12M-96.1%$16.14M-95.8%$17.16M-95.6%$18.18M-95.4%
$14.19M+54.4%$8.77M-5.7%$8.78M-7.7%$9.01M-8.0%$9.19M-9.2%
$782.37M-9.1%$784.08M-37.8%$803.16M-44.6%$825.47M-45.3%$860.79M-48.5%
$13.61M-3.0%$20.77M+25.2%$16.36M+35.6%$15.06M-13.9%$14.04M-33.2%
$13.4M+141%$2.03M-37.0%$1.01M+28.4%$2.59M-61.6%$5.57M+96.4%
$16.33M+7.1%$15.94M+14.9%$16.05M-7.2%$14.86M-22.6%$15.24M-12.1%
$277K-88.5%$448K-95.5%$621K-94.2%$703K-94.4%$2.42M-75.3%
$3.55M-39.3%$3.93M-33.4%$4.4M-19.3%$5.71M+0.1%$5.86M-4.4%
$65.36M-1.9%$72.83M+9.9%$63.21M+5.4%$59.75M-23.8%$66.6M-8.7%
$59M+16.9%$56.59M+279%$54.3M+221%$52.08M+165%$50.48M+73.8%
$7.98M$0-100%$0-100%$0-100%$0-100%
$780M$778.73M+4,064%$0-100%$0-100%$0-100%
$0$0$0$0$0
1B0.0%1B+340,036%1B0.0%1B0.0%1B0.0%
$2.71B+1.5%$2.7B+1.7%$2.69B+3.4%$2.68B+3.7%$2.67B+3.9%
-$2.7B-5.0%-$2.7B-25.4%-$2.65B-23.4%-$2.62B-25.2%-$2.58B-34.3%
-$147K-139%$457K+8.3%$415K-73.3%$267K+151%$381K+225%
$2.37M-97.4%$5.35M-98.9%$36.09M-92.0%$61.49M-87.5%$91.64M-85.9%
$782.37M-9.1%$784.08M-37.8%$803.16M-44.6%$825.47M-45.3%$860.79M-48.5%
$276.11M-19.4%$279.05M-28.4%$298.24M-36.5%$314.47M-38.4%$342.73M-39.0%
$28.9M$32.11M$30.26M
$14.19M+54.4%$8.77M-5.7%$8.78M-7.7%$9.01M-8.0%$9.19M-9.2%
$421.54M0.0%$421.54M+2.4%$421.54M+2.4%$421.54M+2.4%$421.54M+2.4%
$40.85M-8.0%$41.7M+159%$42.58M+146%$43.5M+94.3%$44.41M+44.8%
$14.1M-22.4%$15.12M-96.0%$16.14M-95.8%$17.16M-95.6%$18.18M-95.4%
$14.1M-22.4%$15.12M-96.1%$16.14M-96.3%$17.16M-96.1%$18.18M-96.0%
$40.85M-8.0%$41.7M+159%$42.58M+146%$43.5M+94.3%$44.41M+44.8%
$14.19M+54.4%$8.77M-5.7%$8.78M-7.7%$9.01M-8.0%$9.19M-9.2%
$219.69M-22.8%$215.8M-35.5%$242.19M-38.4%$259.93M-36.6%$284.6M-41.4%
$40.85M-8.0%$41.7M+159%$42.58M+146%$43.5M+94.3%$44.41M+44.8%
$14.19M+54.4%$8.77M-5.7%$8.78M-7.7%$9.01M-8.0%$9.19M-9.2%
$3.55M-39.3%$3.93M-33.4%$4.4M-19.3%$5.71M+0.1%$5.86M-4.4%
$33.9M+15.6%$33.65M+48.9%$29.17M+52.1%$26.54M+18.2%$29.34M+33.4%
$33.9M+15.6%$33.65M+48.9%$29.17M+52.1%$26.54M+18.2%$29.34M+33.4%
$1.24M-77.8%$2.03M-37.0%$1.01M+28.4%$2.59M-61.6%$5.57M+96.4%
$2.82M-1.3%$3.05M-1.7%$2.56M-21.7%$2.69M-22.4%$2.86M-30.6%
$3.55M-39.3%$3.93M-33.4%$4.4M-19.3%$5.71M+0.1%$5.86M-4.4%
$644.11M-0.3%$645.38M-0.3%$645.16M-27.8%$646.44M-27.6%$646.21M-27.6%
$3.55M-39.3%$3.93M-33.4%$4.4M-19.3%$5.71M+0.1%$5.86M-4.4%
$59.28M+12.1%$57.04M+129%$54.92M+98.9%$52.79M+64.4%$52.9M+36.3%
$0.000.0%$0.000.0%$0.000.0%$0.000.0%$0.000.0%
310.5M+3.5%302M+2.6%301.9M+10.2%300.4M+10.2%300M+10.2%
50M0.0%50M0.0%50M0.0%50M0.0%50M0.0%
00000
00000
$311K+3.7%$302K+2.7%$302K+10.2%$300K+10.3%$300K+10.3%
$0$0$0$0$0
$0.000.0%$0.000.0%$0.000.0%$0.000.0%$0.000.0%
$116K-74.4%$458K-23.9%$432K-72.7%$321K+334%$453K+118%
$263K+265%$1K-99.4%$18K-43.8%$54K-91.0%$72K-86.0%
$0$0$0$0$0
$263K+265%$1K-99.4%$18K-43.8%$54K-91.0%$72K-86.0%
$116K-74.4%$458K-23.9%$432K-72.7%$321K+334%$453K+118%
$00.0%$00.0%$00.0%$00.0%$00.0%
$1B0.0%$1B0.0%$1B0.0%$1B0.0%$1B0.0%
$310.49M+3.5%$301.96M+2.6%$301.85M+10.2%$300.35M+10.2%$300.04M+10.2%
$310.49M+3.5%$301.96M+2.6%$301.85M+10.2%$300.35M+10.2%$300.04M+10.2%
$644.11M-0.3%$645.38M-0.3%$645.16M-27.8%$646.44M-27.6%$646.21M-27.6%
$276.11M-19.4%$279.05M-28.4%$298.24M-36.5%$314.47M-38.4%$342.73M-39.0%
$275.96M-19.6%$279.51M-28.3%$298.65M-36.6%$314.74M-38.3%$343.11M-38.9%
$407.44M+1.0%$406.42M+999%$405.4M+1,246%$404.38M+1,638%$403.36M+2,358%
$421.54M0.0%$421.54M+2.4%$421.54M+2.4%$421.54M+2.4%$421.54M+2.4%
$34.74M$38.64M$41.79M
$1.57M$1.53M$1.53M
$00.0%$00.0%$00.0%$00.0%$00.0%
$50M0.0%$50M0.0%$50M0.0%$50M0.0%$50M0.0%
$0$0$0$0$0
$0$0$0$0$0
$2.82M-1.3%$3.05M-1.7%$2.56M-21.7%$2.69M-22.4%$2.86M-30.6%
$19K$20K$300K

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Questions, answered.

What are Pacific Biosciences of California's total assets?
Pacific Biosciences of California (PACB) holds $782.4M in total assets, down 9.1% year over year.
How much debt does Pacific Biosciences of California have?
Pacific Biosciences of California carries $59.3M in total debt against $2.4M of shareholders' equity, a debt-to-equity ratio of 25.06.
How much cash does Pacific Biosciences of California have?
Pacific Biosciences of California holds $57.9M in cash and equivalents.
Can Pacific Biosciences of California cover its short-term obligations?
Its current ratio is 5.65 — current assets exceed current liabilities.
Where does Pacific Biosciences of California's balance sheet data come from?
Every line is extracted from Pacific Biosciences of California'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.