SLB N.V. (SLB)
NYSE: SLB · Real-Time Price · USD
49.98
-1.55 (-3.01%)
At close: Jul 28, 2026, 4:00 PM EDT
50.68
+0.70 (1.40%)
After-hours: Jul 28, 2026, 7:54 PM EDT

SLB N.V. Balance Sheet

Millions USD. Fiscal year is Jan - Dec.
Fiscal Quarter
Q2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q3 2023Q2 2023Q1 2023Q4 2022Q3 2022Q2 2022Q1 2022Q4 2021Q3 2021
Period Ending
Jun '26 Mar '26 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
Cash & Equivalents
-2,8193,0363,0143,2362,9363,5443,0862,9532,7882,9002,4881,9301,5011,6552,1801,8931,6001,7571,569
Short-Term Investments
-5681,1765715119611,1251,3761,0507031,0891,2471,2641,0031,2391,4299231,0491,3821,373
Cash & Short-Term Investments
4,0713,3874,2123,5853,7473,8974,6694,4624,0033,4913,9893,7353,1942,5042,8943,6092,8162,6493,1392,942
Cash Growth (YoY)
8.65%-13.09%-9.79%-19.66%-6.40%11.63%17.05%19.46%25.33%39.42%37.84%3.49%13.42%-5.47%-7.80%22.67%5.00%-8.97%4.42%-23.33%
Accounts Receivable
9,1329,0378,6899,1018,5868,6048,0118,2608,6058,2227,8128,0497,6757,5786,7666,6506,2475,7135,3155,349
Inventory
5,4365,2745,0325,3214,7404,6504,3754,5734,5044,5494,3874,3054,3604,2863,9994,1433,9683,7193,2723,296
Other Current Assets
1,6051,6371,5801,4611,3801,4441,5151,5061,4051,4381,5309499251,0321,3441,2091,2851,172928800
Total Current Assets
20,24419,33519,51319,46818,45318,59518,57018,80118,51717,70017,71817,03816,15415,40015,00315,61114,31613,25312,65412,387
Net Property, Plant & Equipment
7,7457,7477,8947,9997,3997,3997,3597,3607,3357,2537,2406,8756,8046,6916,6076,4076,3866,3546,4296,375
Other Intangible Assets
4,8764,9014,9885,0892,8932,9633,0123,1223,1983,1673,2392,9122,9683,0212,9923,0433,1023,1583,2113,265
Goodwill
17,00116,85216,79417,00714,65814,63714,59314,55914,53014,08614,08413,11113,11713,11312,98212,99013,00912,97812,99012,990
Long-Term Investments
1,6911,7841,7831,6911,6761,6411,6351,7441,6781,6061,6241,6221,6011,5541,5811,7621,7671,9552,0442,110
Other Long-Term Assets
3,9753,9073,8963,8393,6903,7673,7664,1894,1154,0444,0524,2554,1824,0763,9704,2804,2474,2694,1833,911
Total Assets
55,53254,52654,86855,09348,76949,00248,93549,77549,37347,85647,95745,81344,82643,85543,13544,09342,82741,96741,51141,038
Accounts Payable
11,21011,14011,49010,8579,99310,22110,37510,34610,09910,05110,9049,2228,9388,7009,1219,0348,5288,6388,3827,615
Short-Term Debt
1,6581,9381,8941,9232,8073,4751,0511,0591,0331,4301,1231,9981,9932,1401,6328999019239091,025
Other Current Liabilities
1,1981,3351,3371,2571,2351,3401,3851,2941,2771,3981,3681,3081,2321,4121,2651,2011,1541,1351,0681,095
Total Current Liabilities
14,06614,41314,72114,03714,03515,03612,81112,69912,40912,87913,39512,52812,16312,25212,01811,13410,58310,69610,3599,735
Long-Term Debt
11,1409,6709,74210,84310,89110,52711,02311,86412,15610,74010,84211,14711,34210,69810,59412,45212,94613,16313,28614,370
Other Long-Term Liabilities
3,0723,0903,1143,2912,2922,6912,7512,4842,5282,3142,3612,4312,3872,5252,5342,9962,6732,4692,5803,268
Total Long-Term Liabilities
14,21212,76012,85614,13413,18313,21813,77414,34814,68413,05413,20313,57813,72913,22313,12815,44815,61915,63215,86617,638
Total Liabilities
28,27827,17327,57728,17127,21828,25426,58527,04727,09325,93326,59826,10625,89225,47525,14626,58226,20226,32826,22527,373
Common Stock
-16,19816,35416,33811,35410,82711,45811,40811,40111,34411,62411,18211,27011,26411,83711,86711,98111,95712,60812,571
Treasury Stock
--3,650-3,576-3,636-3,742-3,292-1,773-1,294-973-531-678-621-750-559-1,016-1,176-1,436-1,503-2,233-2,287
Accumulated Other Comprehensive Income
--4,740-4,736-4,813-4,743-4,824-4,950-4,290-4,247-4,249-4,254-3,917-3,886-3,933-3,855-3,396-3,464-3,639-3,570-4,697
Retained Earnings
-18,36918,06717,74617,43316,80416,39515,68714,89014,17213,49712,74211,97411,29610,7199,9049,2448,5328,1997,775
Total Common Shareholders' Equity
-26,17726,10925,63520,30219,51521,13021,51121,07120,73620,18919,38618,60818,06817,68517,19916,32515,34715,00413,362
Minority Interest
-1,1761,1821,2871,2491,2331,2201,2171,2091,1871,170321326312304312300292282303
Shareholders' Equity
27,25427,35327,29126,92221,55120,74822,35022,72822,28021,92321,35919,70718,93418,38017,98917,51116,62515,63915,28613,665
Total Liabilities & Equity
55,53254,52654,86855,09348,76949,00248,93549,77549,37347,85647,95745,81344,82643,85543,13544,09342,82741,96741,51141,038
Total Debt
12,79811,60811,63612,76613,69814,00212,07412,92313,18912,17011,96513,14513,33512,83812,22613,35113,84714,08614,19515,395
Net Cash (Debt)
-8,727-8,221-7,424-9,181-9,951-10,105-7,405-8,461-9,186-8,679-7,976-9,410-10,141-10,334-9,332-9,742-11,031-11,437-11,056-12,453
Net Cash Growth (YoY)
--------------------
Net Cash Per Share
-5.79-5.43-4.91-6.17-7.29-7.32-5.21-5.91-6.37-6.00-5.52-6.53-7.03-7.15-6.47-6.77-7.68-7.98-7.73-8.74
Book Value
026,17726,10925,63520,30219,51521,13021,51121,07120,73620,18919,38618,60818,06817,68517,19916,32515,34715,00413,362
Book Value Per Share
-17.2817.2817.2314.8614.1414.8815.0214.6014.3313.9613.4412.9012.5012.2611.9511.3710.7010.499.38
Tangible Book Value
-21,8774,4244,3273,5392,7511,9153,5253,8303,3433,4832,8663,3632,5231,9341,7111,166214-789-1,197-2,893
Tangible Book Value Per Share
-14.532.922.862.382.011.392.482.672.322.411.982.331.751.341.190.810.15-0.55-0.84-2.03
SEC Filings: 10-K · 10-Q