Vivid Seats Inc. SEAT Balance Sheet Statement
| FY'25 | FY'24 | FY'23 | FY'22 | ||
|---|---|---|---|---|---|
| $102.7M-57.8% | $243.48M+94.0% | $125.48M-50.1% | $251.54M-48.6% | ||
| $604K-48.2% | $1.17M-83.2% | $6.95M+829% | $748K+167% | ||
| $175.54M-30.3% | $251.9M+16.5% | $216.14M+23.2% | $175.38M+219% | ||
| $102.01M+0.4% | $101.61M+7.3% | $94.71M+43.5% | $66.01M— | ||
| $115.86M-11.5% | $130.85M-19.9% | $163.41M-18.3% | $199.93M-3.6% | ||
| $178.47M-48.3% | $345.17M+40.3% | $245.99M-25.8% | $331.52M-45.7% | ||
| $12.37M-1.5% | $12.57M+23.7% | $10.16M-2.6% | $10.43M+864% | ||
| $10.52M-12.4% | $12.01M+22.2% | $9.83M+25.0% | $7.86M— | ||
| $283.92M-69.9% | $943.12M-0.4% | $947.36M+32.4% | $715.26M-0.4% | ||
| $141.53M-39.3% | $233.12M-3.3% | $241.16M+194% | $81.98M+4.4% | ||
| $77.88M-76.3% | $329.01M+35.8% | $242.22M— | —— | ||
| $3.58M-31.5% | $5.22M+71.0% | $3.05M-30.5% | $4.39M+458% | ||
| $636.87M-61.1% | $1.64B+5.5% | $1.55B+34.6% | $1.15B-18.3% | ||
| $783.23M-24.0% | $1.03B+14.7% | $898.99M+19.2% | $754.42M— | ||
| $125.96M-23.7% | $165.05M-13.9% | $191.64M+5.3% | $181.97M-35.3% | ||
| $19.97M-16.1% | $23.8M-31.4% | $34.7M+8.4% | $32M+27.5% | ||
| $303.28M-28.8% | $425.79M-12.7% | $487.76M+29.0% | $378.02M-24.0% | ||
| $383.43M-0.4% | $384.96M+45.5% | $264.63M-0.1% | $264.9M-42.4% | ||
| $18.83M-48.9% | $36.87M+27.0% | $29.03M+116% | $13.45M-48.0% | ||
| $722M-29.4% | $1.02B+6.1% | $963.34M— | —— | ||
| —— | —— | —— | —— | ||
| $1.37B+7.9% | $1.27B+15.6% | $1.1B+65.1% | $663.91M+265% | ||
| -$1.36B-46.2% | -$930.17M+1.0% | -$939.6M+7.3% | -$1.01B+2.7% | ||
| $173K+120% | -$880K-218% | $747K— | $0— | ||
| $93.92M+24.3% | $75.57M+43.7% | $52.59M+61.8% | $32.49M— | ||
| -$85.13M-133% | $261.11M+149% | $105.02M+127% | -$382.7M— | ||
| $636.87M-61.1% | $1.64B+5.5% | $1.55B+34.6% | $1.15B-18.3% | ||
| $5.37M-22.6% | $6.93M-0.9% | $6.99M— | $0— | ||
| $10.52M-12.4% | $12.01M+22.2% | $9.83M+25.0% | $7.86M— | ||
| $1.12M-98.6% | $77.97M-8.9% | $85.56M— | $0— | ||
| $141.53M-39.3% | $233.12M-3.3% | $241.16M+194% | $81.98M+4.4% | ||
| $10.52M-12.4% | $12.01M+22.2% | $9.83M+25.0% | $7.86M— | ||
| $3.58M-31.5% | $5.22M+71.0% | $3.05M-30.5% | $4.39M+458% | ||
| $10.52M-12.4% | $12.01M+22.2% | $9.83M+25.0% | $7.86M— | ||
| $3.93M-0.5% | $3.95M+0.4% | $3.93M+43.0% | $2.75M— | ||
| $16.45M-12.2% | $18.73M+15.5% | $16.22M+8.7% | $14.91M— | ||
| $125.96M-23.7% | $165.05M-13.9% | $191.64M+5.3% | $181.97M-35.3% | ||
| $402.19M-0.9% | $405.66M+43.4% | $282.91M+0.9% | $280.39M-39.9% | ||
| $93.92M+24.3% | $75.57M+43.7% | $52.59M+61.8% | $32.49M— | ||
| $16.45M-12.2% | $18.73M+15.5% | $16.22M+8.7% | $14.91M— |
Chart any of these lines over time, or line them up against competitors.
Compare these in charts →Questions, answered.
- What are Vivid Seats Inc.'s total assets?
- Vivid Seats Inc. (SEAT) holds $691.7M in total assets, down 56.9% year over year.
- How much debt does Vivid Seats Inc. have?
- Vivid Seats Inc. carries $382.6M in total debt against -$95.4M of shareholders' equity, a debt-to-equity ratio of 1.41.
- How much cash does Vivid Seats Inc. have?
- Vivid Seats Inc. holds $143.6M in cash and equivalents.
- Can Vivid Seats Inc. cover its short-term obligations?
- Its current ratio is 0.66 — current liabilities exceed current assets.
- Where does Vivid Seats Inc.'s balance sheet data come from?
- Every line is extracted from Vivid Seats 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.
