Fortinet, Inc. (FTNT)
NASDAQ: FTNT · Real-Time Price · USD
96.08
-1.21 (-1.24%)
Dec 27, 2024, 4:00 PM EST - Market closed

Fortinet Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Quarter
Q3 2024 Q2 2024 Q1 2024 Q4 2023 Q3 2023 Q2 2023 Q1 2023 Q4 2022 Q3 2022 Q2 2022 Q1 2022 Q4 2021 Q3 2021 Q2 2021 Q1 2021 Q4 2020 Q3 2020 Q2 2020 Q1 2020 Q4 2019 +20 Quarters
Period Ending
Sep '24 Jun '24 Mar '24 Dec '23 Sep '23 Jun '23 Mar '23 Dec '22 Sep '22 Jun '22 Mar '22 Dec '21 Sep '21 Jun '21 Mar '21 Dec '20 Sep '20 Jun '20 Mar '20 Dec '19 +20 Quarters
Cash & Equivalents
2,4892,2031,9261,3982,1872,3762,3041,683964710923.51,3191,8521,8791,8601,062882.3916.4626.11,223
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Short-Term Investments
1,2111,1361,0971,043982937.2574.9528.1766.41,0451,2181,2331,2691,2341,077775.5774.4610.5775.2843.1
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Cash & Short-Term Investments
3,7013,3393,0232,4403,1693,3142,8792,2111,7301,7552,1422,5523,1213,1132,9371,8371,6571,5271,4012,066
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Cash Growth
16.79%0.78%5.00%10.38%83.13%88.81%34.44%-13.35%-44.56%-43.63%-27.08%38.88%88.39%103.89%109.58%-11.05%-14.62%-16.57%-22.23%25.22%
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Accounts Receivable
1,0441,083996.21,4021,0141,0791,0871,262963.2919.5790.4807.7604.9584.6637.3720546.6498.7474.7544.3
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Other Receivables
------------2.43.22.6-3.23.74.7-
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Receivables
1,0441,083996.21,4021,0141,0791,0871,262963.2919.5790.4807.7607.3587.8639.9720549.8502.4479.4544.3
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Inventory
354.3383.2439.5484.8467.5376.3302.7264.6215.8195.2184.6175.8177.9149.8149.6139.8134.5126105117.9
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Prepaid Expenses
121.5113.4100.9101.1102.6109.589.773.172.883.391.765.457.357.454.843.343.653.449.641.2
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Total Current Assets
5,2214,9194,5604,4284,7534,8784,3593,8102,9822,9533,2083,6013,9643,9083,7812,7402,3852,2092,0352,769
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Property, Plant & Equipment
1,2731,2431,2471,1201,038981.9917.4994.8889.5814.6786.5752.7620.2566.2548.1497.3465434.7416.9388.6
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Long-Term Investments
-2435.850.71.54.215.6129.884188.5360.8440.8299.2247.6152.1118.3118.9101.4173149.6
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Goodwill
212.8127.9129126.5125.4126127.8128120.2121.3123.8125.1127.699.299.29368.267.267.267.2
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Other Intangible Assets
111.630.234.135.339.644.651.15638.845.455.163.67128.732.331.625.323.427.131.1
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Long-Term Deferred Tax Assets
1,300998.5942.5868.8788.5729.2649.6569.4515.5480.2431.7342.3337.3271.2260.6245.2230.1218.9226.5226.3
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Long-Term Deferred Charges
599.4596.9600605.6569.9558.8536.9518.2480.5456.9437.5423.3378.8347.8320.2304.8281.1263.5248.7237
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Other Long-Term Assets
133.8113.4113.623.3163.7163.3175.221.4225.2234.7247.4170.71739088.513.91312.811.510.4
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Total Assets
8,8528,0537,6627,2597,4797,4866,8326,2285,3365,2955,6515,9195,9715,5595,2824,0453,5863,3313,2063,879
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Accounts Payable
177.9132.1135.2204.3253.9238.3238.4243.4215.1193.1174.7148.4142.3132129.5141.695.9107.287.896.4
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Accrued Expenses
624.8512.7638.2547.9527.7491.6560.1452.5435.5428.6438.4366397310.6264.5276232.5213.2210.2184
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Current Portion of Long-Term Debt
------------17.6-------
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Current Portion of Leases
---33.4---33.2---26.32522.920.619.117.215.714.815.5
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Current Income Taxes Payable
----220.1183--------------
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Current Unearned Revenue
3,0812,9752,9122,8492,6472,5882,4632,3492,1292,0131,8931,7771,6161,5331,4651,3931,3001,2761,2301,156
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Other Current Liabilities
-105.211584.7------4.1--------4.1
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Total Current Liabilities
3,8843,7253,8003,7193,6493,5013,2623,0782,7802,6352,5112,3182,1981,9991,8801,8301,6461,6121,5431,456
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Long-Term Debt
993.8993.3992.8992.3991.8991.3990.9990.4989.9989.4988.9988.4988987.5987-----
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Long-Term Leases
83.182.989.845.764.67380.162.5---40.540.539.435.8343127.628.330.6
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Long-Term Unearned Revenue
2,9312,9212,8782,8862,6382,5412,4182,2912,0651,9191,7651,6761,4901,3721,2811,2131,0921,047996.6953.3
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Other Long-Term Liabilities
52.642.338.77961.859.170.587.3124.7131153.998.2118.2110.9118.4112.5104.4100.210297.1
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Total Liabilities
7,9447,7657,8007,7227,4057,1656,8216,5105,9595,6745,4185,1214,8354,5094,3013,1892,8732,7872,6702,537
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Common Stock
0.80.80.80.80.80.80.80.80.80.80.20.80.20.20.20.20.20.20.20.2
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Additional Paid-In Capital
1,5691,4991,4491,4161,3971,3761,3271,2841,2501,2371,2361,2541,2581,2461,2251,2071,1791,1541,1281,180
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Retained Earnings
-643.3-1,183-1,562-1,862-1,299-1,032-1,299-1,546-1,860-1,608-1,003-467.9-138.6-195.7-244.9-352.1-466.9-613.1-589.2160.8
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Comprehensive Income & Other
-18-29-24.8-18.9-24.3-23.1-18.1-20.2-25.5-23.4-15.4-4.8-1.2-0.10.30.71.42.5-3.11.1
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Total Common Equity
908.1288.2-137.5-463.474.1321.211.4-281.6-634.7-392.9217.7781.71,1181,050980.8856713.2543.9536.31,342
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Minority Interest
--------11.913.315.516.717.5-------
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Shareholders' Equity
908.1288.2-137.5-463.474.1321.211.4-281.6-622.8-379.6233.2798.41,1361,050980.8856713.2543.9536.31,342
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Total Liabilities & Equity
8,8528,0537,6627,2597,4797,4866,8326,2285,3365,2955,6515,9195,9715,5595,2824,0453,5863,3313,2063,879
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Total Debt
1,0771,0761,0831,0711,0561,0641,0711,086989.9989.4988.91,0551,0711,0501,04353.148.243.343.146.1
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Net Cash (Debt)
2,6242,2631,9411,3692,1122,2491,8081,125740.5765.51,1531,4972,0502,0631,8941,7841,6091,4841,3582,020
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Net Cash Growth
24.21%0.62%7.32%21.70%185.27%193.82%56.86%-24.83%-63.88%-62.90%-39.12%-16.12%27.44%39.08%39.41%-11.65%-15.28%-17.24%-22.93%22.42%
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Net Cash Per Share
3.402.922.481.742.662.832.261.400.910.931.381.792.462.482.282.131.891.721.552.31
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Filing Date Shares Outstanding
766.45764.91763.94763.03767.91785.34785.2784.07781.24788.52802.64804.08817.5816.6816.59815.95811.66809.16808.24862.57
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Total Common Shares Outstanding
765.7764.2763.2761776.3785.6784.4781.5780.1788.4801.5810817816.5816.5812.5811.5809813858.5
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Working Capital
1,3371,194759.3709.31,1041,3781,097732202.6318697.81,2831,7661,9101,902910.9739596.8492.31,313
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Book Value Per Share
1.190.38-0.18-0.610.100.410.01-0.36-0.81-0.500.270.971.371.291.201.050.880.670.661.56
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Tangible Book Value
583.7130.1-300.6-625.2-90.9150.6-167.5-465.6-793.7-559.638.8593919.5922.3849.3731.4619.7453.34421,244
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Tangible Book Value Per Share
0.760.17-0.39-0.82-0.120.19-0.21-0.60-1.02-0.710.050.731.131.131.040.900.760.560.541.45
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Land
462.6453453351.7351.7330.1323.6310305.7253.4250.4204.5128.3106.8106.893.393.393.393.393.3
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Buildings
738.4713.3712.5595.5591.7553.9506.3490.3488.9475.3459.2416.2365.4345.1153.8150.6148.1148148147.4
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Machinery
315.2306.6300.8294.7282.8270.3262.2254250.5238.2216.5203193.4180.4168.5158.5151.5145.6139.9134
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Construction In Progress
72.565.25663.355.864.746.951.73827.531.319.916.910.6193.4166.4140.8114.190.761.2
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Leasehold Improvements
65.56766.761.460.655.655.453.549.748.841.840.138.835.333.631.930.326.726.825.5
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Source: S&P Capital IQ. Standard template. Financial Sources.