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Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$1.05M$154.94K$879.17K$405.58K$0
$4.3K$4.3K-26.3%$5.32K$5.32K
$1.15M$24.55M$20.3M$9.85M
$38.75K$337.97K$4.41M$3.35M
$0$0$1.96M$1.48M
$38.75K$337.97K$3.25M$1.96M
$294.47K$784.65K+1,157%$192.99K$133.99K
$187.4K$1.03M
$4.23M$27.65M+1,840%$28.98M$17.97M$0
$398.44M$390.32M+11.0%$379.74M$374.17M
$1.7M$1.7M+35.3%$1.44M$1.44M
$9.56M$9.56M0.0%$9.56M$9.56M
$370.78M$362.67M+11.9%$352.09M$346.51M
$139.47M
$1.84M
$16.4M$16.4M-1.6%$16.66M$16.66M
$402.96M$419.47M+18.3%$408.72M$392.13M$0
$3.54M$5.08M+407%$2.06M$2.47M
$5.36M$176.17K0.0%$132.13K0.0%$88.08K0.0%
$57.59M$20.27M+137%$17.51M$14.49M
$244.84M+18,971%$249.01M+38.0%$265.46M$247.26M$1.28M
$123.31M$124.01M$122.84M$117.38M
$132.82M$132.81M0.0%$132.8M$132.79M
$132.82M$132.81M0.0%$132.8M$132.79M
$14.59M+1,037%$10.73M-96.6%$23.62M$13M$1.28M
500M+499,999,900%500M0.0%500M500M100
$59.82M+60,422,428%$54.36M-22.7%$5.65M$99
-$34.54M-2,590%-$16.73M+42.4%-$444.51K$12.07M-$1.28M
$25.31M+146%$37.65M-9.1%$5.22M-71.9%$12.09M-44.9%-$54.57M-312%
$402.96M$419.47M+18.3%$408.72M$392.13M$0
$1.05M+86.7%$159.23K-61.4%$884.48K-82.5%$410.89K+299%$563.44K
$6.38K$49.28K$626.67K
$294.47K$784.65K+1,157%$192.99K$133.99K
$950K$1.08M
$739.92K$739.92K
$950K$1.08M
$17.01M
$2.41M
$97.44M
$9.56M$9.56M0.0%$9.56M$9.56M
$16.4M$16.4M-1.6%$16.66M$16.66M
$164.95M
$71.8M$60.93M+199%$52.81M$50.45M
$45K
$593.23K$593.23K-74.8%$13.58M
$121.25M$121.92M+10.5%$115.44M$115.2M
$16.7M$16.7M
$5.32M$751.8K$4.08M$4.5M
$121.25M$121.92M+10.5%$115.44M$115.2M
$10.00$10.00$10.00$10.00
$36M$25.28M$25.08M
$6.19M$5.75M$5.75M$5.75M
$63.34M
$9.28M$9.98M
$7.85M
$3.54M$5.08M+407%$2.06M$2.47M
$9.28M$9.98M
$261.49M$257M+93.3%$255.76M+193,475%$250.26M+284,012%
$3.72M$3.73M-1.0%$3.74M$3.75M
$0.00-99.0%$0.000.0%$0.00$0.00$0.01
290.9M+290,948,577%206.5M+47.2%149.3M149.3M100
50M50M0.0%50M50M
0000
0000
$29.09K+2,909,100%$20.65K-85.3%$14.93K$14.93K$1
$0.00$0.000.0%$0.00$0.00
$10.68M$5.86M
$7.69M$191.68K
$2.07M$2.98M
$1.94M
$220.9K
$1.05M+86.7%$159.23K-61.4%$884.48K-82.5%$410.89K+299%$563.44K
$250K$250K$250K$250K
$0-99.0%$00.0%$0$0$0.01
$500M+499,999,900%$500M0.0%$500M$500M$100
$290.95M+290,948,577%$206.47M+47.2%$149.26M$149.26M$100
$290.95M+58.9%$206.47M+47.2%$149.26M$149.26M$183.08M
$370.78M$362.67M+11.9%$352.09M$346.51M
$100M
$3.72M$3.73M-1.0%$3.74M$3.75M
$10$10$10$10
$185.99K
$139.47M
$148.85M
$20.46M
$575.82K
$1.84M
$164.95M
$187.4K
$136.53M$136.53M0.0%$136.53M$136.53M
$63.34M$70M$70M
$5.75M$5.36M$5.36M$5.36M
$6.19M$5.75M$5.75M$5.75M
$6.66M
$6.66M$6.19M$6.19M$6.19M
$63.34M
$5.36M$36.7M$10.25M$4.99M
$36M$25.28M$25.08M
$2.06M$2.1M$2.14M$2.19M
$0$0$0$0
$111.98M$111.93M
$97.44M
$950K$950K0.0%$950K$950K
$0$00.0%$0$0
$50M$50M0.0%$50M$50M
$0$0$0$0
$0$0$0$0
$300K$1.5M0.0%$1.5M$1.5M
$36M$25.28M$25.08M

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Questions, answered.

What are XCF Global, Inc. Class A Common Stock's total assets?
XCF Global, Inc. Class A Common Stock (SAFX) holds $403.0M in total assets.
How much debt does XCF Global, Inc. Class A Common Stock have?
XCF Global, Inc. Class A Common Stock carries $261.5M in total debt against $25.3M of shareholders' equity, a debt-to-equity ratio of 10.33.
How much cash does XCF Global, Inc. Class A Common Stock have?
XCF Global, Inc. Class A Common Stock holds $1.0M in cash and equivalents.
Can XCF Global, Inc. Class A Common Stock cover its short-term obligations?
Its current ratio is 0.02 — current liabilities exceed current assets.
Where does XCF Global, Inc. Class A Common Stock's balance sheet data come from?
Every line is extracted from XCF Global, Inc. Class A Common Stock'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.