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XPEL, Inc. XPEL Balance Sheet Statement

Q1 '26Q4 '25Q3 '25Q2 '25Q1 '25
$45.11M+91.6%$50.86M+130%$64.5M+207%$49.59M+231%$23.54M+173%
$53.52M+60.4%$49.85M+71.0%$36.88M+24.7%$38.12M+29.4%$33.36M+16.8%
$131.58M+14.1%$122.76M+10.7%$128.72M+26.7%$104.13M+6.7%$115.31M+4.7%
$16.41M+11.6%$15.62M-16.4%$14.81M+22.3%$7.47M-38.3%$14.7M+114%
$2.59M+293%$1.83M-31.4%$1.61M+68.4%$1.43M-27.0%$657K-95.5%
$112.58M+12.6%$105.31M+17.6%$112.29M+26.8%$95.23M+14.0%$99.95M+12.7%
$7M+14.9%$6.65M+25.2%$4.44M-29.5%$5.47M+17.9%$6.09M+9.2%
$0$581K-34.9%$0-100%$0-100%$0
$237.2M+33.0%$230.7M+37.0%$234.53M+47.8%$197.32M+33.4%$178.3M+16.6%
$24.1M+39.7%$15.8M-10.9%$16.23M-9.1%$16.88M-6.2%$17.25M-2.1%
$25.22M+33.8%$23.88M+38.5%$22.22M+38.8%$20.66M+27.3%$18.85M+24.6%
$19.66M+2.2%$21.56M+10.6%$21.5M+17.0%$20.14M+9.1%$19.24M+24.4%
$57.4M+29.2%$59.28M+34.3%$52.29M+20.6%$46.54M+8.0%$44.44M+18.0%
$48.45M+43.4%$49.62M+43.6%$56.27M+67.5%$32.49M-2.3%$33.8M-0.4%
$625K+166%$0$2.12M$1.26M$235K
$7.02M+351%$5.57M+313%$4.76M+317%$3.46M+207%$1.56M+80.2%
$394.45M+33.8%$382.53M+33.9%$387.7M+42.0%$318.07M+21.5%$294.82M+14.1%
$43.17M+75.2%$37.77M+43.5%$35.94M+64.3%$26.37M+49.4%$24.64M+21.1%
$6.18M+56.0%$7.81M+1,100%$7.31M+59.3%$5.95M+54.8%$3.96M+24.5%
$8.48M+502%$4.8M+484%$5.01M+592%$2.14M+117%$1.41M+318%
$5.74M+13.1%$6.09M+30.6%$6.49M+34.6%$5.4M+14.2%$5.08M+28.6%
$77.22M+85.7%$71M+71.0%$84.35M+131%$44.63M+43.8%$41.58M+30.7%
$0$120K-74.4%$0-100%$0-100%$0-100%
$15.08M-4.6%$16.71M+3.6%$16.75M+10.2%$16.16M+5.2%$15.81M+23.4%
$9.55M+423%$9.51M+425%$12.63M+1,073%$1.49M+190%$1.83M+168%
$101.86M+71.6%$97.34M+61.8%$113.84M+110%$62.41M+4.2%$59.37M-17.6%
$0$0$0$0$0
100M0.0%100M+357,043%100M0.0%100M0.0%100M0.0%
$18.68M+15.8%$18.05M+16.1%$18.17M+23.6%$17.09M+22.7%$16.14M+22.5%
$275.68M+23.8%$265.34M+23.9%$251.93M+22.8%$238.99M+25.6%$222.7M+27.0%
-$943K+72.3%-$135K+96.8%-$843K+30.7%-$362K+84.7%-$3.41M-64.6%
$5.94M$3M
$5.08M$4.9M$4.58M-$82K
$287.51M+22.1%$280.28M+24.3%$269.28M+23.1%$255.74M+26.7%$235.45M+26.3%
$394.45M+33.8%$382.53M+33.9%$387.7M+42.0%$318.07M+21.5%$294.82M+14.1%
$400K+100%$100K-50.0%$100K-50.0%$100K-50.0%$200K0.0%
$400K+100%$100K-50.0%$100K-50.0%$100K-50.0%$200K0.0%
$112.58M+12.6%$105.31M+17.6%$112.29M+26.8%$95.23M+14.0%$99.95M+12.7%
$7.02M+351%$5.57M+313%$4.76M+317%$3.46M+207%$1.56M+80.2%
$78.08M+38.2%$78.12M+40.3%$82.42M+54.0%$57.08M+10.7%$56.5M+11.1%
$19.66M+2.2%$21.56M+10.6%$21.5M+17.0%$20.14M+9.1%$19.24M+24.4%
$625K+166%$0$2.12M$1.26M$235K
$48.45M+43.4%$49.62M+43.6%$56.27M+67.5%$32.49M-2.3%$33.8M-0.4%
$19.66M+2.2%$21.56M+10.6%$21.5M+17.0%$20.14M+9.1%$19.24M+24.4%
$7.02M+351%$5.57M+313%$4.76M+317%$3.46M+207%$1.56M+80.2%
$49.32M+36.6%$39.67M+13.4%$38.45M+13.6%$37.54M+9.7%$36.1M+10.2%
$19.66M+2.2%$21.56M+10.6%$21.5M+17.0%$20.14M+9.1%$19.24M+24.4%
$7.02M+351%$5.57M+313%$4.76M+317%$3.46M+207%$1.56M+80.2%
$3.54M-4.5%$3.91M+6.5%$3.97M+4.1%$3.83M+21.4%$3.7M+32.2%
$6.18M+56.0%$7.81M+46.6%$7.31M+59.3%$5.95M+54.8%$3.96M+24.5%
$61.37M+78.5%$54.29M+50.2%$52.23M+65.1%$38.96M+48.4%$34.38M+24.5%
$1.39M-32.7%$0$2.12M$205K$2.07M+927%
$6.18M+56.0%$7.81M+46.6%$7.31M+59.3%$5.95M+54.8%$3.96M+24.5%
$0-100%$59K-6.3%$69K+4.5%$69K+7.8%$65K+3.2%
$8.73M$10.56M+1,522%$23.44M
$0-100%$59K-6.3%$69K+4.5%$69K+7.8%$65K+3.2%
$348K-50.4%$307K-58.4%$810K+19.5%$755K+28.8%$701K-5.0%
$20.82M-1.0%$22.8M+8.5%$23.36M+15.1%$21.69M+6.6%$21.04M+23.4%
$0.000.0%$0.000.0%$0.000.0%$0.000.0%$0.000.0%
27.7M+0.2%27.7M+0.1%27.7M+0.1%27.7M+0.1%27.7M+0.1%
10M0.0%10M0.0%10M0.0%10M0.0%10M0.0%
00000
00000
$28K0.0%$28K0.0%$28K0.0%$28K0.0%$28K0.0%
$0$0$0$0$0
$0.000.0%$0.000.0%$0.000.0%$0.000.0%$0.000.0%
$44.1M$47M
$44.1M$47M
$49.32M+36.6%$39.67M+13.4%$38.45M+13.6%$37.54M+9.7%$36.1M+10.2%
$18.2M$19.97M+999%
$400K+100%$100K-50.0%$100K-50.0%$100K-50.0%$200K0.0%
$7K$28K-95.7%$10.9M
$00.0%$00.0%$00.0%$00.0%$00.0%
$100M0.0%$100M0.0%$100M0.0%$100M0.0%$100M0.0%
$27.71M+0.2%$27.68M+0.1%$27.68M+0.1%$27.67M+0.1%$27.66M+0.1%
$27.56M$27.6M-0.2%$27.68M+0.1%$27.65M0.0%
20.0%20.0%20.0%20.0%
$0$120K-74.4%$0-100%$0-100%$0-100%
$29.64M+30.6%$28.5M+34.9%$26.15M+31.2%$24.59M+34.1%$22.7M+34.0%
$78.08M+38.2%$78.12M+40.3%$82.42M+54.0%$57.08M+10.7%$56.5M+11.1%
$0$581K-34.9%$0-100%$0-100%$0
$5.08M$4.9M$4.58M-$82K
$00.0%$00.0%$00.0%$00.0%$00.0%
$10M0.0%$10M0.0%$10M0.0%$10M0.0%$10M0.0%
$0$0$0$0$0
$0$0$0$0$0
$348K-50.4%$307K-58.4%$810K+19.5%$755K+28.8%$701K-5.0%
$50M
$44.1M$47M
$146.65K$78.62K

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Questions, answered.

What are XPEL, Inc.'s total assets?
XPEL, Inc. (XPEL) holds $394.4M in total assets, up 33.8% year over year.
How much debt does XPEL, Inc. have?
XPEL, Inc. carries $20.8M in total debt against $287.5M of shareholders' equity, a debt-to-equity ratio of 0.07.
How much cash does XPEL, Inc. have?
XPEL, Inc. holds $45.1M in cash and equivalents.
Can XPEL, Inc. cover its short-term obligations?
Its current ratio is 3.07 — current assets exceed current liabilities.
Where does XPEL, Inc.'s balance sheet data come from?
Every line is extracted from XPEL, 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.