Universal Technical Institute, Inc. (UTI)
NYSE: UTI · IEX Real-Time Price · USD
14.58
+0.35 (2.46%)
Apr 19, 2024, 4:00 PM EDT - Market closed

UTI Balance Sheet

Millions USD. Fiscal year is Oct - Sep.
Year 2023202220212020201920182017201620152014 2013 - 2002
Cash & Equivalents
156.9270145.9888.9280.5672.1664.9612535.2645.53
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Short-Term Investments
028.92038.060047.781.6928.0945.91
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Cash & Cash Equivalents
156.9298.91145.98126.9780.5672.16112.74126.6963.3591.44
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Cash Growth
58.65%-32.24%14.97%57.62%11.64%-35.99%-11.01%99.99%-30.72%-7.58%
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Receivables
31.1522.0922.6940.623.1626.2915.215.2522.4112.12
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Other Current Assets
16.9114.9514.7312.6114.3918.3518.892022.323.98
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Total Current Assets
204.99135.95183.39180.18118.1116.8146.83161.95108.06127.53
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Property, Plant & Equipment
443346.33281.13217.41104.13114.85106.66114.03124.14106.93
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Long-Term Investments
30.6730.2330.5927.6129.8531.19001.7211.26
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Goodwill and Intangibles
47.4331.078.358.228.228.229.019.018.2220.58
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Other Long-Term Assets
14.599.329.128.5710.2211.2211.6112.1732.1621.77
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Total Long-Term Assets
535.7416.96329.18261.8152.42165.48127.28135.21166.25160.54
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Total Assets
740.69552.91512.57441.98270.53282.28274.1297.16274.3288.07
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Accounts Payable
69.9466.6854.451.8945.8846.6237.4842.5542.6238.83
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Deferred Revenue
85.7454.2257.6540.6942.8938.2441.3444.4944.6946.37
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Current Debt
2514.0714.9523.81.551.321.110.910.745.23
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Other Current Liabilities
4.022.755.725.266.536.296.466.618.4411.91
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Total Current Liabilities
184.7137.72132.72121.6496.8492.4686.3994.5696.49102.34
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Long-Term Debt
324.63195.73183.08134.2239.1640.7242.0443.1444.0532.48
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Other Long-Term Liabilities
5.394.078.249.620.2322.4619.922.8420.2820.06
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Total Long-Term Liabilities
330.02199.79191.32143.8259.3963.1761.9465.9964.3352.54
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Total Liabilities
514.72337.51324.04265.46156.24155.63148.33160.55160.83154.88
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Total Debt
349.62209.8198.03158.0240.7242.0343.1444.0544.7937.71
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Debt Growth
66.65%5.94%25.32%288.10%-3.14%-2.57%-2.07%-1.64%18.77%-
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Retained Earnings
5.95-1.31-22-32.97-44.67-31.56-30.83-17.4532.6449.58
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Comprehensive Income
2.462.21-0.2800000.020.020
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Shareholders' Equity
225.97215.4188.53176.52114.29126.65125.78136.61113.48133.19
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Net Cash / Debt
-192.7-110.89-52.05-31.0439.8430.1369.682.6418.5653.72
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Net Cash / Debt Growth
----32.25%-56.72%-15.78%345.30%-65.46%-45.70%
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Net Cash Per Share
-5.59-3.29-1.57-1.031.571.202.823.400.762.16
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Working Capital
20.29-1.7750.6758.5421.2624.3360.4467.3911.5625.2
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Book Value Per Share
6.656.485.755.924.495.045.095.624.655.41
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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).