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FY'25FY'24FY'23FY'22
$371.12M+33.5%$278.03M+47.9%$187.96M+40.9%$133.38M+26.6%
$47.93M+9.0%$43.98M+15.6%$38.05M+13.3%$33.59M+25.7%
$30.91M+11.6%$27.69M+13.9%$24.31M+24.2%$19.58M+29.5%
$5.35M+5.3%$5.08M+9.5%$4.64M+35.1%$3.44M+5.9%
$455.32M+28.3%$354.78M+39.1%$254.97M+34.2%$189.99M+26.3%
$221.42M+21.1%$182.89M+1.7%$179.8M+4.6%$171.97M+6.0%
$447.55M+13.8%$393.31M+5.2%$374M+4.1%$359.12M+5.0%
$1.42M+0.9%$1.41M+7.4%$1.31M0.0%$1.31M+11.8%
$333.19M+7.4%$310.36M+7.1%$289.8M+7.5%$269.63M+7.3%
$3.86M-20.4%$4.86M-7.9%$5.27M-1.8%$5.37M+70.9%
$23M-2.8%$23.66M-4.1%$24.66M-3.6%$25.58M+11.0%
$443K-30.2%$635K+12.4%$565K+28.4%$440K-2.2%
$681.04M+25.4%$543.16M+23.3%$440.6M+19.8%$367.77M+16.3%
$14.52M+64.6%$8.82M+19.1%$7.4M-4.2%$7.73M+42.2%
$7.47M+14.2%$6.54M-23.1%$8.51M+32.9%$6.4M+31.8%
$1.64M+2.6%$1.6M+1.3%$1.58M+12.1%$1.41M+57.0%
$23.63M+39.3%$16.96M-3.0%$17.49M+12.6%$15.54M+38.9%
$2.37M-31.0%$3.44M-12.3%$3.92M-5.1%$4.13M+78.7%
$4.01M-20.4%$5.04M-8.4%$5.5M-0.7%$5.54M+72.6%
$1.28M-5.9%$1.36M-4.5%$1.43M-0.5%$1.44M0.0%
$50.28M+10.7%$45.42M-4.4%$47.5M+1.7%$46.68M+22.9%
$2.98M+0.2%$2.97M+0.4%$2.96M+340%$671K+0.3%
$48.84M+20.4%$40.55M+14.1%$35.54M+2.9%$34.53M+8.7%
$643.03M+24.7%$515.62M+25.0%$412.5M+20.4%$342.5M+13.6%
$64.08M+4.4%$61.4M+6.1%$57.89M+2.3%$56.62M+1.4%
$630.76M+26.7%$497.74M+26.6%$393.1M+22.4%$321.09M+15.4%
$681.04M+25.4%$543.16M+23.3%$440.6M+19.8%$367.77M+16.3%
$443K-30.2%$635K+12.4%$565K+28.4%$440K-2.2%
$3.86M-20.4%$4.86M-7.9%$5.27M-1.8%$5.37M+70.9%
$8.37M-0.3%$8.39M+1.0%$8.31M+17.8%$7.05M+18.7%
$13.53M+2.1%$13.25M+23.4%$10.73M+11.9%$9.59M+22.0%
$447.55M+13.8%$393.31M+5.2%$374M+4.1%$359.12M+5.0%
$3.86M-20.4%$4.86M-7.9%$5.27M-1.8%$5.37M+70.9%
$443K-30.2%$635K+12.4%$565K+28.4%$440K-2.2%
$554.61M+12.4%$493.25M+5.0%$469.6M+6.3%$441.6M+6.8%
$15.93M0.0%$15.93M0.0%$15.93M0.0%$15.93M0.0%
$3.86M-20.4%$4.86M-7.9%$5.27M-1.8%$5.37M+70.9%
$443K-30.2%$635K+12.4%$565K+28.4%$440K-2.2%
$7.47M+14.2%$6.54M-23.1%$8.51M+32.9%$6.4M+31.8%
$7.47M+14.2%$6.54M-23.1%$8.51M+32.9%$6.4M+31.8%
$4.01M-20.4%$5.04M-8.4%$5.5M-0.7%$5.54M+72.6%
$48.84M+20.4%$40.55M+14.1%$35.54M+2.9%$34.53M+8.7%
$2.98M+0.2%$2.97M+0.4%$2.96M+340%$671K+0.3%
$554.61M+12.4%$493.25M+5.0%$469.6M+6.3%$441.6M+6.8%
$23M-2.8%$23.66M-4.1%$24.66M-3.6%$25.58M+11.0%
$67.82M+11.3%$60.95M+2.8%$59.31M+22.1%$48.59M+19.9%

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Questions, answered.

Can United States Lime & Minerals, Inc. cover its short-term obligations?
Its current ratio is 20.73 — current assets exceed current liabilities.
Where does United States Lime & Minerals, Inc.'s balance sheet data come from?
Every line is extracted from United States Lime & Minerals, 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.