Pool Corporation (BMV:POOL)
Mexico flag Mexico · Delayed Price · Currency is MXN
3,843.91
+163.91 (4.45%)
At close: Feb 24, 2026

Pool Corporation Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2022FY 2021
Period Ending
Dec '25 Dec '24 Dec '23 Dec '22 Dec '21
Cash & Equivalents
104.9677.8666.5445.5924.32
Cash & Short-Term Investments
104.9677.8666.5445.5924.32
Cash Growth
34.81%17.02%45.95%87.45%-29.20%
Accounts Receivable
36.0422.8849.2523.2721.78
Other Receivables
311.76291.98293.66328.18354.79
Receivables
347.8314.86342.91351.45376.57
Inventory
1,4551,2891,3651,5911,339
Prepaid Expenses
53.5142.931.1824.3921.89
Other Current Assets
8.914.199.276.57.2
Total Current Assets
1,9701,7291,8152,0191,769
Property, Plant & Equipment
594.46566.18529.62463.32420.67
Long-Term Investments
10.6921.3227.0635.37.29
Goodwill
707.35698.91700.08691.99688.36
Other Intangible Assets
283.88290.73298.28305.45312.81
Other Long-Term Assets
59.8861.9457.6750.3931.91
Total Assets
3,6263,3683,4283,5653,230
Accounts Payable
652.62525.24508.67406.67398.7
Accrued Expenses
34.3337.2753.7292.93102.14
Short-Term Debt
----0.95
Current Portion of Long-Term Debt
13.0349.4738.225.0414.03
Current Portion of Leases
105.3498.2889.2275.4869.07
Current Income Taxes Payable
23.6387.8521.2116.48106.89
Other Current Liabilities
51.3546.0859.7459.1252.63
Total Current Liabilities
880.29844.19770.77675.71744.42
Long-Term Debt
1,186900.881,0151,3621,172
Long-Term Leases
230.24223.28221.95198.54175.36
Long-Term Deferred Tax Liabilities
95.6381.4167.4258.7635.84
Other Long-Term Liabilities
48.3144.9640.0335.4731.55
Total Liabilities
2,4412,0952,1152,3302,159
Common Stock
0.040.040.040.040.04
Additional Paid-In Capital
671.05638.62606.18575.78551.96
Retained Earnings
520.66648.48699.99653.48526.87
Comprehensive Income & Other
-6.52-13.666.585.9-7.48
Total Common Equity
1,1851,2731,3131,2351,071
Shareholders' Equity
1,1851,2731,3131,2351,071
Total Liabilities & Equity
3,6263,3683,4283,5653,230
Total Debt
1,5351,2721,3641,6611,431
Net Cash (Debt)
-1,430-1,194-1,298-1,615-1,407
Net Cash Per Share
-38.35-31.24-33.28-40.58-34.75
Filing Date Shares Outstanding
36.7937.6338.3839.140.17
Total Common Shares Outstanding
36.5837.6938.3539.0740.19
Working Capital
1,090884.931,0451,3431,025
Book Value Per Share
32.4033.7934.2331.6226.66
Tangible Book Value
194283.82314.43237.7570.22
Tangible Book Value Per Share
5.307.538.206.091.75
Land
23.9124.4724.0819.8719.86
Buildings
58.9758.7456.1855.9154.5
Machinery
359.82317.91281.04247.63227.03
Construction In Progress
6.4815.0114.6510.876.18
Leasehold Improvements
100.5890.3481.1170.9562.68
Source: S&P Global Market Intelligence. Standard template. Financial Sources.