ePlus inc. (PLUS)
NASDAQ: PLUS · IEX Real-Time Price · USD
75.92
-0.96 (-1.25%)
May 1, 2024, 4:00 PM EDT - Market closed

ePlus inc. Balance Sheet

Millions USD. Fiscal year is Apr - Mar.
Year 2022202120202019201820172016201520142013 2012 - 1995
Cash & Equivalents
103.09155.38129.5686.2379.82118.2109.7694.7776.1880.18
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Short-Term Investments
89.8361.49106.2770.1763.7769.9451.6656.4566.9157.75
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Cash & Cash Equivalents
192.92216.87235.83156.4143.58188.13161.42151.21143.08137.93
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Cash Growth
-11.04%-8.04%50.79%8.93%-23.68%16.55%6.75%5.68%3.74%38.24%
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Receivables
559.63479.05432.62411.57341.23296.69291.02276.4249.8243.22
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Inventory
243.29155.0669.9650.2750.4939.8693.5633.3419.8422.63
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Other Current Assets
99.2946.539.1831.5624.840.2151.3417.0227.9121.49
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Total Current Assets
1,095897.48777.59649.8560.1564.89597.32477.98440.63425.26
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Property, Plant & Equipment
70.4545.5942.2932.617.3319.1411.968.649.258.01
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Long-Term Investments
84.4264.2990.1774.1659.0368.5171.8875.9176.9985.99
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Goodwill and Intangibles
161.15153.79165.26152.56149.74102.9360.5654.1540.834.58
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Other Long-Term Assets
3.685.051.47000000.60
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Total Long-Term Assets
319.7268.72299.18259.32226.1190.58144.4138.7127.64128.59
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Total Assets
1,4151,1661,077909.11786.2755.47741.72616.68568.28553.85
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Accounts Payable
426.45342.26356.72276.79272.79289.78301.52257.73233.57239.86
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Deferred Revenue
114.0386.4772.855.4847.2535.6565.3118.3434.3621.84
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Current Debt
67.325.4537.260.031.340.912.290.891.46
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Other Current Liabilities
14.8523.9924.417.118.7823.38.75-4.92-10.74-19.04
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Total Current Liabilities
561.33460.04459.36386.64328.85350.07376.49273.45258.09244.12
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Long-Term Debt
05.7912.6600001.052.82.1
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Other Long-Term Liabilities
71.2439.6442.3436.3333.0932.819.3123.328.1341.24
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Total Long-Term Liabilities
71.2445.435536.3333.0932.819.3124.3630.9343.34
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Total Liabilities
632.56505.47514.37422.97361.95382.87395.8297.8289.01287.46
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Total Debt
613.1118.1137.260.031.340.913.343.693.56
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Debt Growth
-54.25%-27.61%-51.40%132957.14%-97.92%47.91%-72.83%-9.43%3.65%139.89%
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Retained Earnings
627.2507.85484.62410.22341.14277.95222.82331.22286.48240.64
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Comprehensive Income
1.57-0.120.66-0.99-0.270.53-0.58-0.47-0.240.19
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Shareholders' Equity
782.27660.74562.41486.15424.25372.6345.92318.88279.26266.38
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Net Cash / Debt
186.93203.76217.73119.14143.56186.79160.51147.87139.39134.37
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Net Cash / Debt Growth
-8.26%-6.41%82.74%-17.00%-23.15%16.37%8.55%6.08%3.74%36.71%
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Net Cash Per Share
7.017.588.114.445.296.695.725.034.714.20
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Working Capital
533.8437.45318.23263.16231.25214.82220.83204.53182.55181.14
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Book Value Per Share
29.4424.8021.0918.2415.7713.5112.4710.999.548.40
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Source: Financials are provided by Nasdaq Data Link and sourced from the audited annual (10-K) and quarterly (10-Q) reports submitted to the Securities and Exchange Commission (SEC).