Standard Motor Products SMP Balance Sheet Statement
| TTM Q1 '26 | TTM Q4 '25 | TTM Q3 '25 | TTM Q2 '25 | TTM Q1 '25 | ||
|---|---|---|---|---|---|---|
| $59.21M-17.8% | $72.03M-17.4% | $87.2M+48.3% | $58.79M+16.9% | $50.28M+13.2% | ||
| $312.96M+34.9% | $232.02M-21.7% | $296.23M-9.5% | $327.27M+16.6% | $280.8M+33.3% | ||
| $2.75B+3.2% | $2.66B+4.0% | $2.56B+6.4% | $2.41B— | —— | ||
| $21.07M+14.0% | $18.48M-21.3% | $23.47M+7.4% | $21.84M-16.9% | $26.28M+2.3% | ||
| $1.12B+6.6% | $1.05B-3.1% | $1.08B+1.8% | $1.07B+4.8% | $1.02B+10.2% | ||
| $186.44M-1.1% | $188.56M+0.7% | $187.33M+2.1% | $183.51M+5.1% | $174.64M+3.5% | ||
| $102M-3.0% | $105.18M-2.4% | $107.79M-3.5% | $111.73M-0.3% | $112.02M+1.9% | ||
| $253.63M-1.0% | $256.16M0.0% | $256.15M0.0% | $256.27M+4.1% | $246.12M+1.9% | ||
| $97.3M-1.8% | $99.1M+0.4% | $98.69M-0.6% | $99.33M+6.7% | $93.09M+2.8% | ||
| $25.6M+0.8% | $25.38M+29.4% | $19.61M+26.2% | $15.55M+10.5% | $14.06M+6.6% | ||
| $30.27M-2.1% | $30.93M-1.6% | $31.43M+3.0% | $30.53M+4.8% | $29.14M-1.5% | ||
| $26.69M+1.4% | $26.31M+3.4% | $25.45M+8.3% | $23.5M-9.7% | $26.01M+4.7% | ||
| $2.05B+2.7% | $2B-1.6% | $2.03B+1.0% | $2.01B+4.2% | $1.93B+6.2% | ||
| $179.52M+6.2% | $169.09M-5.2% | $178.3M+4.0% | $171.36M+13.3% | $151.21M+2.2% | ||
| $34.3M-25.7% | $46.14M-2.0% | $47.06M+22.0% | $38.57M+24.2% | $31.05M-24.2% | ||
| $49.37M-5.0% | $51.99M+2.3% | $50.84M+65.0% | $30.82M+32.7% | $23.23M-14.3% | ||
| $21.97M-0.1% | $21.99M+1.8% | $21.6M+0.4% | $21.53M+3.7% | $20.77M+3.9% | ||
| $98.25M+6.7% | $92.05M-6.8% | $98.77M+12.1% | $88.15M+8.8% | $81.04M-4.6% | ||
| $501.07M+1.6% | $493.31M-11.0% | $554.11M+12.5% | $492.42M+12.6% | $437.38M+0.2% | ||
| $609.25M+7.5% | $566.73M+5.2% | $538.64M-11.1% | $605.81M-3.4% | $627.33M+17.2% | ||
| $90.35M-3.3% | $93.38M-2.9% | $96.18M-3.6% | $99.77M-0.1% | $99.89M+1.7% | ||
| $112.32M-2.6% | $115.37M-2.0% | $117.78M-2.9% | $121.3M+0.5% | $120.65M+2.1% | ||
| $1.34B+3.4% | $1.3B-2.9% | $1.34B+2.4% | $1.3B+2.4% | $1.27B+7.6% | ||
| $47.87M0.0% | $47.87M0.0% | $47.87M0.0% | $47.87M0.0% | $47.87M0.0% | ||
| $101.1M+2.1% | $99.01M-3.7% | $102.84M+1.8% | $101.04M+1.5% | $99.55M-0.6% | ||
| $599.28M+1.7% | $589.45M+0.2% | $588.45M-1.9% | $599.6M+3.2% | $581.17M+1.0% | ||
| $11.66M-34.7% | $17.86M+22.7% | $14.56M-13.5% | $16.83M+223% | -$13.66M+47.1% | ||
| $66.59M-5.5% | $70.48M-7.6% | $76.3M-0.5% | $76.72M-0.3% | $76.98M-5.9% | ||
| $14.25M-2.1% | $14.56M-1.1% | $14.72M-0.8% | $14.84M+2.5% | $14.48M+1.0% | ||
| $693.33M+1.4% | $683.7M+0.9% | $677.41M-1.6% | $688.62M+7.9% | $637.96M+3.6% | ||
| $2.05B+2.7% | $2B-1.6% | $2.03B+1.0% | $2.01B+4.2% | $1.93B+6.2% | ||
| $32.57M+1.7% | $32.04M-0.9% | $32.32M+3.0% | $31.39M-1.0% | $31.7M-4.4% | ||
| $102M-3.0% | $105.18M-2.4% | $107.79M-3.5% | $111.73M-0.3% | $112.02M+1.9% | ||
| $25.6M+0.8% | $25.38M+29.4% | $19.61M+26.2% | $15.55M+10.5% | $14.06M+6.6% | ||
| $204.53M-3.6% | $212.06M-2.0% | $216.48M— | —— | —— | ||
| $102M-3.0% | $105.18M-2.4% | $107.79M-3.5% | $111.73M-0.3% | $112.02M+1.9% | ||
| $32.57M+1.7% | $32.04M-0.9% | $32.32M+3.0% | $31.39M-1.0% | $31.7M-4.4% | ||
| $97.3M-1.8% | $99.1M+0.4% | $98.69M— | —— | —— | ||
| $102M-3.0% | $105.18M-2.4% | $107.79M-3.5% | $111.73M-0.3% | $112.02M+1.9% | ||
| $32.57M+1.7% | $32.04M-0.9% | $32.32M+3.0% | $31.39M-1.0% | $31.7M-4.4% | ||
| $109.78M-2.5% | $112.63M-2.1% | $115.04M+52.6% | $75.37M-5.7% | $79.93M-5.5% | ||
| $34.3M-25.7% | $46.14M-2.0% | $47.06M+22.0% | $38.57M+24.2% | $31.05M-24.2% | ||
| $75.92M-10.1% | $84.49M+1.0% | $83.69M+9.7% | $76.27M+4.4% | $73.05M-4.1% | ||
| $63.71M+28.6% | $49.55M-40.3% | $83.04M+10.4% | $75.21M+13.8% | $66.09M+42.2% | ||
| $34.3M-25.7% | $46.14M-2.0% | $47.06M+22.0% | $38.57M+24.2% | $31.05M-24.2% | ||
| $30M0.0% | $30M0.0% | $30M— | —— | —— | ||
| $19.37M-11.9% | $21.99M+5.5% | $20.84M+0.1% | $20.82M+10.3% | $18.88M+15.7% | ||
| $30M0.0% | $30M0.0% | $30M— | —— | —— | ||
| $770.94M+5.0% | $734.09M+3.8% | $707.26M-6.7% | $757.92M-1.7% | $771.21M+13.3% | ||
| $101.1M+2.1% | $99.01M-3.7% | $102.84M+1.8% | $101.04M+1.5% | $99.55M-0.6% | ||
| $47.87M0.0% | $47.87M0.0% | $47.87M0.0% | $47.87M0.0% | $47.87M0.0% | ||
| $75.92M-10.1% | $84.49M+1.0% | $83.69M+9.7% | $76.27M+4.4% | $73.05M-4.1% | ||
| $26.69M+1.4% | $26.31M+3.4% | $25.45M+8.3% | $23.5M-9.7% | $26.01M+4.7% | ||
| $109.78M-2.5% | $112.63M-2.1% | $115.04M+52.6% | $75.37M-5.7% | $79.93M-5.5% | ||
| $14.25M-2.1% | $14.56M-1.1% | $14.72M-0.8% | $14.84M+2.5% | $14.48M+1.0% | ||
| $98.25M+6.7% | $92.05M-6.8% | $98.77M+12.1% | $88.15M+8.8% | $81.04M-4.6% |
Chart any of these lines over time, or line them up against competitors.
Compare these in charts →Questions, answered.
- What are Standard Motor Products's total assets?
- Standard Motor Products (SMP) holds $2.0B in total assets, up 6.3% year over year.
- How much debt does Standard Motor Products have?
- Standard Motor Products carries $770.9M in total debt against $693.3M of shareholders' equity, a debt-to-equity ratio of 1.11.
- How much cash does Standard Motor Products have?
- Standard Motor Products holds $59.2M in cash and equivalents.
- Can Standard Motor Products cover its short-term obligations?
- Its current ratio is 2.23 — current assets exceed current liabilities.
- Where does Standard Motor Products's balance sheet data come from?
- Every line is extracted from Standard Motor Products'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.
