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Root, Inc. ROOT Balance Sheet Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$608.9M-0.3%$689.9M+14.9%$654.4M-3.2%$642.5M-3.8%$610.5M-4.8%
$11.7M+964%$20.6M+1,960%$1.1M+10.0%$1.1M+10.0%$1.1M+10.0%
$49.6M+22.2%$25.6M-30.6%$31.9M-17.4%$40.6M+14.0%
$350.8M-2.7%$332.8M+9.0%$352.5M+14.2%$341.3M+15.3%$360.7M+23.5%
$85.1M-23.0%$86.2M-16.5%$119.3M+19.5%$116.4M+34.6%$110.5M+36.3%
$456.3M+45.8%$387M+32.5%$357.8M+28.2%$319.2M+33.1%$312.9M+42.0%
$294.1M+41.9%$232.9M+32.5%$215.4M+44.5%$207.3M+53.3%
$46.5M+28.5%$44.4M+51.5%$41.5M+56.6%$38.7M+65.4%$36.2M+69.2%
$27.7M-82.4%$33.5M-77.8%$142.3M-11.4%$145.5M-7.2%$157.8M+7.3%
$1.68B+6.3%$1.67B+12.0%$1.64B+5.2%$1.59B+6.1%$1.59B+10.7%
$3.2M-8.6%$3.3M-13.2%$3.6M-52.6%$3.5M-53.3%$3.5M-53.3%
$200.3M+0.2%$200.3M+0.1%$200.4M-33.4%$200.1M-33.3%$200M-33.2%
$23.3M-81.0%$29.7M-72.7%$122.2M+11.0%$123.3M+16.0%$122.7M+24.1%
$1.25B+0.2%$1.28B+8.3%$1.27B-0.2%$1.23B-0.1%$1.24B+7.8%
$1.93B+2.1%$1.92B+1.8%$1.91B+1.3%$1.88B+0.1%$1.89B+0.1%
-$1.61B+3.5%-$1.64B+2.4%-$1.65B+3.4%-$1.64B+4.9%-$1.66B+3.4%
$400K-42.9%$3.9M+270%$3.5M+66.7%$2.3M+168%$700K+121%
$325.9M+42.5%$284.3M+39.6%$265M+45.7%$244.5M+61.6%$228.7M+38.0%
$1.68B+6.3%$1.67B+12.0%$1.64B+5.2%$1.59B+6.1%$1.59B+10.7%
$10.8M+36.7%$0-100%$0$3.5M$7.9M
$49.6M+21.9%$25.7M-30.5%$32M-17.9%$40.7M+13.1%
$49.6M+21.9%$25.7M-30.5%$32M-17.9%$40.7M+13.1%
$17.7M-49.4%$28.2M-61.7%$35M-48.1%
$17.7M-49.4%$28.2M-61.7%$35M-48.1%
$217M+230%$51M-57.1%$65.8M-37.2%
$217M+230%$51M-57.1%$65.8M-37.2%
$1.9M+26.7%$1M-73.0%$1.5M-58.3%
$17.7M-49.4%$28.2M-61.7%$35M-48.1%
$234.7M+133%$79.2M-58.9%$100.8M-41.5%
$217M+230%$51M-57.1%$65.8M-37.2%
$234.7M+133%$79.2M-58.9%$100.8M-41.5%
$10.8M+36.7%$0-100%$0$3.5M$7.9M
$293.3M+42.0%$230.3M+32.2%$213.6M+41.1%$206.6M+50.3%
$471.5M+45.0%$391.4M+25.8%$362.2M+29.7%$327.1M+36.3%$325.2M+47.5%
$85.1M-23.0%$86.2M-16.5%$119.3M+19.5%$116.4M+34.6%$110.5M+36.3%
$94.4M$96.3M
$4.4M0.0%$4.4M0.0%$4.4M0.0%$4.4M0.0%$4.4M0.0%
$112M0.0%$112M0.0%$112M0.0%$112M0.0%$112M0.0%
$54.1M+52.8%$54M+75.3%$37.3M+52.2%$35.4M+46.3%
$69.6M+84.6%$45M+43.8%$38M+59.7%$37.7M+75.3%
$2.9M-17.1%$3M-18.9%$3.2M-52.2%$3.4M-54.1%$3.5M-57.3%
$43.2M-19.1%$74.2M+4.4%$58.6M-8.4%$52.3M-4.9%$53.4M+30.6%
$472.7M+13.0%$483.6M+17.0%$462.9M+18.0%$444.5M+18.3%$418.5M+30.0%
$95.1M$96.7M
$412.4M-1.9%$393.7M+11.2%$409.3M$395.2M$420.3M
$200.3M+0.2%$204.6M-0.7%$200.4M-33.4%$200.1M-33.3%$200M-33.2%
$200M$200M
$500K-54.5%$800K-71.4%$1.1M-62.1%
$1.2M-88.7%$5.1M-23.9%$6.6M+128%$10M+127%$10.6M+89.3%
100M0.0%100M0.0%100M0.0%100M0.0%100M0.0%
14.1M0.0%14.1M0.0%14.1M0.0%14.1M0.0%14.1M0.0%
14.1M0.0%14.1M0.0%14.1M0.0%14.1M0.0%14.1M0.0%
$234.7M+133%$79.2M-58.9%$100.8M-41.5%
$126.5M0.0%$126.5M0.0%$126.5M0.0%$126.5M0.0%$126.5M0.0%
$0.000.0%$0.000.0%$0.000.0%$0.000.0%$0.000.0%
100K0.0%100K0.0%100K0.0%100K0.0%100K0.0%
$112M0.0%$112M0.0%$112M0.0%$112M0.0%$112M0.0%
$2.3M+4.5%$3.3M+1,000%$2.2M+633%
$1.9M+26.7%$1M-73.0%$1.5M-58.3%
$50.66+55.4%$34.80+2.0%$34.80+2.4%$34.80+2.4%$32.61-3.2%
$1.9M+26.7%$1M-73.0%$1.5M-58.3%
$2.3M+4.5%$3.3M+1,000%$2.2M+633%
$54.2M+54.4%$53.3M+76.5%$36.8M+49.0%$35.1M+44.4%
$54.1M+52.8%$54M+75.3%$37.3M+52.2%$35.4M+46.3%
$293.3M+42.0%$230.3M+32.2%$213.6M+41.1%$206.6M+50.3%
$294.1M+41.9%$232.9M+32.5%$215.4M+44.5%$207.3M+53.3%
$69.6M+84.6%$45M+43.8%$38M+59.7%$37.7M+75.3%
$69.3M+84.8%$45.3M+44.7%$38.1M+63.5%$37.5M+78.6%
$49.6M+21.9%$25.7M-30.5%$32M-17.9%$40.7M+13.1%
$49.6M+22.2%$25.6M-30.6%$31.9M-17.4%$40.6M+14.0%
$200M$200M
100%100%
$2.9M-17.1%$3M-18.9%$3.2M-52.2%$3.4M-54.1%$3.5M-57.3%
$466.7M+45.8%$383.1M+23.9%$354.3M$320.4M$320.1M
$0$0$0
$10.8M$0
$455.9M$383.1M
$500K-54.5%$800K-71.4%$1.1M-62.1%
$217M+230%$51M-57.1%$65.8M-37.2%
$17.7M-49.4%$28.2M-61.7%$35M-48.1%
$1.4M+250%$200K-77.8%$400K-42.9%
$467.1M+45.6%$387M+26.1%$357.8M$322.7M$320.8M
$1.9M+26.7%$1M-73.0%$1.5M-58.3%
$234.7M+133%$79.2M-58.9%$100.8M-41.5%
$452.3M+19.8%$458.2M+25.5%$432.8M+26.5%$408.5M+26.0%$377.4M+37.0%
$126.5M0.0%$126.5M0.0%$126.5M0.0%$126.5M0.0%$126.5M0.0%
$00.0%$00.0%$00.0%$00.0%$00.0%
$100M0.0%$100M0.0%$100M0.0%$100M0.0%$100M0.0%
$14.1M0.0%$14.1M0.0%$14.1M0.0%$14.1M0.0%$14.1M0.0%
$14.1M0.0%$14.1M0.0%$14.1M0.0%$14.1M0.0%$14.1M0.0%
$8.6M+19.4%$8.9M-9.2%$8M+11.1%$8.2M+20.6%$7.2M+38.5%
$15.8M$15.7M
$15.9M$15.9M
$85.4M$77M
$0$0
$20.4M-50.4%$25.4M-47.1%$30.1M-40.2%$36M-30.4%$41.1M-11.6%
$100K-50.0%$100K0.0%$100K-94.4%$100K-94.4%$200K-88.9%
$10.1M$19M
$100K0.0%$100K0.0%$100K0.0%$100K0.0%$100K0.0%
$50.66+55.4%$34.8+2.0%$34.8+2.4%$34.8+2.4%$32.61-3.2%
$1.2M-88.7%$5.1M-23.9%$6.6M+128%$10M+127%$10.6M+89.3%
14.1M0.0%14.1M0.0%14.1M0.0%14.1M0.0%14.1M0.0%

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Questions, answered.

What are Root, Inc.'s total assets?
Root, Inc. (ROOT) holds $1.7B in total assets, up 6.3% year over year.
How much debt does Root, Inc. have?
Root, Inc. carries $200.3M in total debt against $325.9M of shareholders' equity, a debt-to-equity ratio of 0.61.
How much cash does Root, Inc. have?
Root, Inc. holds $608.9M in cash and equivalents.
Where does Root, Inc.'s balance sheet data come from?
Every line is extracted from Root, Inc.'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.