Alphabet Inc. (GOOG)
NASDAQ: GOOG · Real-Time Price · USD · Class C Shares
330.59
-2.75 (-0.82%)
Feb 5, 2026, 2:18 PM EST - Market open

Alphabet Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Quarter
Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021Q2 2021Q1 2021
Period Ending
Dec '25 Sep '25 Jun '25 Mar '25 Dec '24 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
Cash & Equivalents
30,70823,09021,03623,26423,46619,95927,22524,49324,04830,70225,92925,92421,87921,98417,93620,88620,94523,71923,63026,622
Short-Term Investments
96,13575,40674,11272,06472,19173,27173,50083,59786,86889,23392,40389,17891,88394,275107,061113,084118,704118,284112,233108,482
Cash & Short-Term Investments
126,84398,49695,14895,32895,65793,230100,725108,090110,916119,935118,332115,102113,762116,259124,997133,970139,649142,003135,863135,104
Cash Growth
32.60%5.65%-5.54%-11.81%-13.76%-22.27%-14.88%-6.09%-2.50%3.16%-5.33%-14.08%-18.54%-18.13%-8.00%-0.84%2.16%7.09%12.21%15.25%
Accounts Receivable
62,88657,14855,04851,00052,34049,10447,08744,55247,96441,02038,80436,03640,25834,69735,70734,70339,30434,04731,96728,006
Other Receivables
-------------1,4791,366919-753884493
Receivables
62,88657,14855,04851,00052,34049,10447,08744,55247,96441,02038,80436,03640,25836,17637,07335,62239,30434,80032,85128,499
Inventory
---------2,9572,2312,315-3,1561,9801,3691,1701,278907888
Other Current Assets
16,30918,30316,02015,72415,71415,20714,18312,82912,65012,3989,4218,53210,77510,5188,3216,8928,0206,0296,0767,646
Total Current Assets
206,038173,947166,216162,052163,711157,541161,995165,471171,530176,310168,788161,985164,795166,109172,371177,853188,143184,110175,697172,137
Property, Plant & Equipment
261,818238,311217,486198,784184,624174,831164,761156,950148,436139,904135,677132,007127,049122,040119,621117,210110,558107,549104,675100,204
Long-Term Investments
68,68763,80052,57451,02940,88236,17734,17233,99431,92930,90731,22431,21330,49230,41930,66530,54429,54926,54426,12325,757
Goodwill
33,38033,26932,33532,17331,88531,93529,18529,18329,19829,14629,21028,99428,96028,83423,94923,01022,95622,62322,40622,341
Other Intangible Assets
---------1,8331,9661,968-2,1921,3771,3131,4171,5491,6261,823
Long-Term Deferred Tax Assets
9,11310,33119,28918,38617,18015,91514,95811,68712,16910,9839,3576,8855,2612,9911,4901,3881,2841,1951,1531,129
Other Long-Term Assets
16,24516,81114,15312,95011,97413,8679,69910,0659,1307,6286,8226,4398,7075,6705,7125,7785,3613,8333,7073,704
Total Assets
595,281536,469502,053475,374450,256430,266414,770407,350402,392396,711383,044369,491365,264358,255355,185357,096359,268347,403335,387327,095
Accounts Payable
12,20010,5468,3478,4977,9877,0496,0926,1987,4935,8035,3134,1845,1286,3034,4093,4366,0374,6164,7084,801
Accrued Expenses
73,10335,16833,63834,40239,24135,24532,99030,69336,14245,58930,38528,27831,74330,24326,51324,39027,91223,00220,44317,587
Short-Term Debt
-3,0003,0002,5002,3001,000--------------
Current Portion of Long-Term Debt
-1,9951,0001,000999999--1,0001,000---------1,000
Current Portion of Leases
-3,4373,1072,9733,1223,3393,7733,1913,0743,1152,9812,9972,7752,6992,3792,4482,3022,3502,1541,978
Current Income Taxes Payable
-5517869,1602,9052,6393,2974,9262,7481,63210,8705,2171,6321,0251,9564,344-4,1701,8111,893
Current Unearned Revenue
6,5785,5424,9694,9085,0364,8964,2513,9734,1374,3033,8463,7153,9083,5853,2723,1983,2882,9682,7152,690
Other Current Liabilities
10,86439,31132,46328,21427,53225,63627,51028,01627,22024,85324,31424,46324,11422,12422,82524,13224,71524,67623,91025,504
Total Current Liabilities
102,74599,55087,31091,65489,12280,80377,91376,99781,81486,29577,70968,85469,30065,97961,35461,94864,25461,78255,74155,453
Long-Term Debt
46,54721,60723,60710,88610,88310,88011,87611,87311,87011,86711,86411,86112,85712,85412,85012,84712,84412,84112,83712,835
Long-Term Leases
12,74414,15613,95413,63913,13313,07113,07013,31213,84314,46414,58714,63514,34513,78313,58113,30713,36212,91813,11012,434
Long-Term Unearned Revenue
-----1,015985921-884667610599594472499535510510530
Long-Term Deferred Tax Liabilities
-----706717486-5285585425144769242,8435,2573,5514,7034,406
Other Long-Term Liabilities
17,98014,28914,26613,92812,0349,6729,45610,91711,4869,47110,51812,09511,50510,94310,58511,64811,38111,23410,92111,424
Total Liabilities
180,016149,602139,137130,107125,172116,147114,017114,506119,013123,509115,903108,597109,120104,62999,766103,092107,633102,83697,82297,082
Common Stock
93,12691,69589,28386,72584,80082,03079,73277,91376,53474,59172,24870,26968,18466,25864,40262,83261,77461,19360,43659,436
Retained Earnings
324,055297,226275,760262,628245,084235,317226,033219,770211,247205,647200,884196,625195,563196,220196,845195,221191,484183,782176,939170,580
Comprehensive Income & Other
-1,916-2,054-2,127-4,086-4,800-3,228-5,012-4,839-4,402-7,036-5,991-6,000-7,603-8,852-5,828-4,049-1,623-408190-3
Shareholders' Equity
415,265386,867362,916345,267325,084314,119300,753292,844283,379273,202267,141260,894256,144253,626255,419254,004251,635244,567237,565230,013
Total Liabilities & Equity
595,281536,469502,053475,374450,256430,266414,770407,350402,392396,711383,044369,491365,264358,255355,185357,096359,268347,403335,387327,095
Total Debt
59,29144,19544,66830,99830,43729,28928,71928,37629,78730,44629,43229,49329,97729,33628,81028,60228,50828,10928,10128,247
Net Cash (Debt)
67,55254,30150,48064,33065,22063,94172,00679,71481,12989,48988,90085,60983,78586,92396,187105,368111,141114,337108,353107,320
Net Cash Growth
3.58%-15.08%-29.89%-19.30%-19.61%-28.55%-19.00%-6.89%-3.17%2.95%-7.58%-18.75%-24.61%-23.98%-11.23%-1.82%2.13%8.38%4.38%6.87%
Net Cash Per Share
5.524.454.145.235.285.155.766.366.447.056.966.686.476.647.277.898.268.457.977.87
Filing Date Shares Outstanding
12,08812,06712,09412,13512,19012,24112,31012,35812,43312,51612,60912,69712,80712,94313,04413,17013,21913,27513,33513,403
Total Common Shares Outstanding
12,08812,07712,10412,15512,21112,26412,32212,38112,46012,54112,62912,72212,84912,97113,07813,17513,24213,29413,35313,422
Working Capital
103,29374,39778,90670,39874,58976,73884,08288,47489,71690,01591,07993,13195,495100,130111,017115,905123,889122,328119,956116,684
Book Value Per Share
34.3532.0329.9828.4126.6225.6124.4123.6522.7421.7821.1520.5119.9319.5519.5319.2819.0018.4017.7917.14
Tangible Book Value
381,885353,598330,581313,094293,199282,184271,568263,661254,181242,223235,965229,932227,184222,600230,093229,681227,262220,395213,533205,849
Tangible Book Value Per Share
31.5929.2827.3125.7624.0123.0122.0421.3020.4019.3118.6818.0717.6817.1617.5917.4317.1616.5815.9915.34
Land
-----80,30078,64177,421-71,35768,89067,94866,89764,67965,01562,86958,88157,26855,91052,522
Machinery
-----625584534-424338326314297267213208202201198
Construction In Progress
-----46,00940,74237,679-32,30532,01930,57327,65726,89925,34125,55523,17222,49421,82522,556
Leasehold Improvements
-----12,46812,01011,576-11,44111,28611,01110,57510,0629,9929,9129,1468,3917,9517,789
Order Backlog
-157,700108,20092,400----------------
Updated Feb 4, 2026. Source: S&P Global Market Intelligence. Standard template. Financial Sources.
SEC Filings: 10-K · 10-Q