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Scholastic SCHL Balance Sheet Statement

FY'25FY'24FY'23FY'22
$124M+9.1%$113.7M-49.4%$224.5M-29.1%$316.6M-13.6%
$273.4M+16.3%$235M-15.5%$278M-7.1%$299.4M+16.9%
$250.2M-5.3%$264.2M-21.0%$334.5M+18.9%$281.4M+4.3%
$47.9M-1.8%$48.8M+3.8%$47M-31.0%$68.1M+44.3%
$8.8M-42.1%$15.2M+70.8%$8.9M-66.8%$26.8M-69.8%
$725.3M+7.2%$676.9M-24.2%$892.9M-10.4%$996M-3.1%
$516.3M+0.9%$511.9M-1.8%$521.4M+0.9%$517M-7.2%
$50.3M+28.6%$39.1M+7.1%$36.5M+6.4%$34.3M+6.2%
10,390,000,000%+480,000,000%9,910,000,000%+1,340,000,000%8,570,000,000%+380,000,000%8,190,000,000%+330,000,000%
$198.9M+49.8%$132.8M+0.1%$132.7M+5.9%$125.3M-0.8%
$85.8M+946%$8.2M+5.1%$7.8M+30.0%$6M-28.6%
$34.7M+50.2%$23.1M+10.0%$21M-2.3%$21.5M-15.4%
$40M+6.7%$37.5M
$1.22B+23.2%$994.3M+2.1%$973.8M+3.1%$944.8M-3.6%
$1.95B+16.7%$1.67B-10.5%$1.87B-3.8%$1.94B-3.4%
$166.2M+6.3%$156.3M-7.5%$168.9M-12.6%$193.3M+516%
$178.8M+11.0%$161.1M-4.7%$169.1M
$1.7M
$26.8M+19.6%$22.4M+5.7%$21.2M+1.9%$20.8M-16.8%
$1.7M0.0%$1.7M-22.7%$2.2M-4.3%$2.3M+4.5%
$4.2M-35.4%$6.5M-96.2%$169.1M-2.1%$172.8M+74.4%
$3.7M+94.7%$1.9M-85.8%$13.4M+396%$2.7M-10.0%
$626.4M+17.1%$534.7M-11.2%$602.3M-2.8%$619.7M-10.9%
$256.2M+4,170%$6M0.0%$6M-7.7%$6.5M-96.6%
$91.5M+2.6%$89.2M+20.9%$73.8M+5.7%$69.8M+3.6%
$6.6M+6.5%$6.2M-8.8%$6.8M-24.4%$9M-18.2%
$118.3M+6.0%$111.6M+17.5%$95M+4.9%$90.6M-1.9%
$4.9M+8.9%$4.5M-2.2%$4.6M-31.3%$6.7M-23.9%
$35.7M+22.3%$29.2M+11.9%$26.1M-20.7%$32.9M-41.0%
$377.2M+219%$118.4M+18.5%$99.9M-2.7%$102.7M-21.3%
$0$0$0$0
70M0.0%70M0.0%70M0.0%70M0.0%
$607.1M+0.4%$604.6M+120,820%$500K-99.9%$627M+0.1%
$999.7M-2.3%$1.02B-1.1%$1.04B+6.1%$976.5M+6.6%
-$41.5M+21.0%-$52.5M+5.9%-$55.8M-22.9%-$45.4M-30.8%
$619.2M+10.9%$558.1M+24.2%$449.5M+31.6%$341.5M+4.2%
$946.5M-7.0%$1.02B-12.5%$1.16B-4.4%$1.22B+3.1%
$1.95B+16.7%$1.67B-10.5%$1.87B-3.8%$1.94B-3.4%
$0$0$0$0
$11M-26.2%$14.9M-10.8%$16.7M-35.5%$25.9M+21.0%
$11M-26.2%$14.9M-10.8%$16.7M-35.5%$25.9M+21.0%
$21M$0
$39.6M0.0%$39.6M0.0%$39.6M0.0%$39.6M0.0%
$2.1M0.0%$2.1M0.0%$2.1M0.0%$2.1M0.0%
$2.1M0.0%$2.1M0.0%$2.1M0.0%$2.1M0.0%
$2.1M0.0%$2.1M0.0%$2.1M0.0%$2.1M0.0%
$103.9M+4.8%$99.1M+15.6%$85.7M+4.6%$81.9M+4.2%
$34.7M+50.2%$23.1M+10.0%$21M-2.3%$21.5M-15.4%
$85.8M+946%$8.2M+5.1%$7.8M+30.0%$6M-28.6%
$87.9M+753%$10.3M+4.0%$9.9M+22.2%$8.1M-22.9%
$42.1M$0
$40M+6.7%$37.5M
$103.9M+4.8%$99.1M+15.6%$85.7M+4.6%$81.9M+4.2%
$113.2M+3.1%$109.8M+10.0%$99.8M+5.7%$94.4M+13.3%
$49.7M+0.4%$49.5M-12.2%$56.4M+1.6%$55.5M-15.5%
$78.1M+35.1%$57.8M+1.8%$56.8M+15.4%$49.2M+12.3%
$103.9M+4.8%$99.1M+15.6%$85.7M+4.6%$81.9M+4.2%
$4.2M-35.4%$6.5M
$34.4M+3.9%$33.1M-5.2%$34.9M-17.3%$42.2M-6.6%
$69.1M+42.5%$48.5M-8.1%$52.8M-13.9%$61.3M+34.7%
$3.7M+94.7%$1.9M-85.8%$13.4M+396%$2.7M-10.0%
$18.3M$0
$6.2M+3.3%$6M
$6.2M+3.3%$6M0.0%$6M-7.7%$6.5M-96.4%
$4.2M-35.4%$6.5M
$4.2M-35.4%$6.5M
$382.8M+209%$123.8M+14.8%$107.8M+1.6%$106.1M-63.9%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
42.9M0.0%42.9M0.0%42.9M0.0%42.9M0.0%
2M0.0%2M0.0%2M0.0%2M0.0%
0000
0000
$39.6M0.0%$39.6M0.0%$39.6M0.0%$39.6M0.0%
$0$0$0$0
$619.2M+10.9%$558.1M+24.2%$449.5M+31.6%$341.5M+4.2%
$1.000.0%$1.000.0%$1.000.0%$1.000.0%
$5.1M-10.5%$5.7M-21.9%$7.3M-29.1%$10.3M-18.3%
$26.6M+23.1%$21.6M-30.8%$31.2M-29.4%$44.2M+92.2%
$42.7M+6.8%$40M-3.6%$41.5M+10.4%$37.6M-34.5%
$35.2M+7.0%$32.9M+12.7%$29.2M-9.3%$32.2M-0.6%
$69.1M+42.5%$48.5M-8.1%$52.8M-13.9%$61.3M+34.7%
$11M-26.2%$14.9M-10.8%$16.7M-35.5%$25.9M+21.0%
$0.010.0%$0.010.0%$0.010.0%$0.010.0%
$70M0.0%$70M0.0%$70M0.0%$70M0.0%
$42.9M0.0%$42.9M0.0%$42.9M0.0%$42.9M0.0%
$24.2M-11.7%$27.4M-8.7%$30M-7.7%$32.5M-0.6%
$183M+9.2%$167.6M-0.9%$169.1M-2.1%$172.8M+74.4%
$34.4M+3.9%$33.1M-5.2%$34.9M-17.3%$42.2M-6.6%
$3.7M-11.9%$4.2M-10.6%$4.7M-11.3%$5.3M+55.9%
$1.7M0.0%$1.7M-22.7%$2.2M-4.3%$2.3M+4.5%
$6M
$50.3M+28.6%$39.1M+7.1%$36.5M+6.4%$34.3M+6.2%
$238.5M+38.3%$172.4M+0.1%$172.3M+4.5%$164.9M-0.6%
$39.6M0.0%$39.6M0.0%$39.6M0.0%$39.6M0.0%
$8.8M-42.1%$15.2M+70.8%$8.9M-66.8%$26.8M-69.8%
$2.1M0.0%$2.1M0.0%$2.1M0.0%$2.1M0.0%
$124.9M
$109.9M
$6.2M+3.3%$6M0.0%$6M-7.7%$6.5M-96.4%
$166.2M+6.3%$156.3M-7.5%$168.9M-12.6%$193.3M-4.3%
$10.0%$10.0%$10.0%$10.0%
$2M0.0%$2M0.0%$2M0.0%$2M0.0%
$0$0$0$0
$0$0$0$0
$18.7M+20.6%$15.5M+20.2%$12.9M+24.0%$10.4M+2.0%

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Questions, answered.

What are Scholastic's total assets?
Scholastic (SCHL) holds $1.8B in total assets, down 9.2% year over year.
How much debt does Scholastic have?
Scholastic carries $302.1M in total debt against $871.9M of shareholders' equity, a debt-to-equity ratio of 0.35.
How much cash does Scholastic have?
Scholastic holds $104.6M in cash and equivalents.
Can Scholastic cover its short-term obligations?
Its current ratio is 1.18 — current assets exceed current liabilities.
Where does Scholastic's balance sheet data come from?
Every line is extracted from Scholastic'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.