Corpay Inc.

NYSE: CPAY · Real-Time Price · USD
320.27
3.68 (1.16%)
At close: Aug 14, 2025, 3:59 PM
322.47
0.69%
Pre-market: Aug 15, 2025, 05:40 AM EDT

Corpay Balance Sheet Statement

Financials in USD. Fiscal year is undefined.
Fiscal Year Q2 2025 Q1 2025 Q4 2024 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
Period Ending Jun 30, 2025 Mar 31, 2025 Dec 31, 2024 Sep 30, 2024 Jun 30, 2024 Mar 31, 2024 Dec 31, 2023 Sep 30, 2023 Jun 30, 2023 Mar 31, 2023 Dec 31, 2022 Sep 30, 2022 Jun 30, 2022 Mar 31, 2022 Dec 31, 2021 Sep 30, 2021 Jun 30, 2021 Mar 31, 2021
Cash & Equivalents
2.19B 1.55B 1.55B 1.3B 1.36B 1.31B 1.39B 1.09B 1.25B 1.27B 1.44B 1.32B 1.42B 1.3B 1.52B 1.27B 1.3B 958.32M
Short-Term Investments
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Long-Term Investments
58.32M 62.67M 60.09M 64.61M 64.04M 68.3M 69.52M 67.96M 69.72M 67.59M 74.28M 74.35M 67.07M 71.06M 52.02M 11.86M 11.86M 11.86M
Other Long-Term Assets
477.02M 406.78M 448.26M 334M 296.22M 265.8M 248.69M 287.71M 275.53M 273.34M 281.73M 314.83M 262.48M 224.5M 213.93M 225.87M 220.45M 185.69M
Receivables
4.24B 4.02B 2.09B 2.64B 2.41B 2.38B 2.16B 2.66B 2.46B 2.37B 2.06B 2.18B 2.45B 2.3B 1.79B 2.07B 1.79B 1.59B
Inventory
n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Other Current Assets
4.33B 3.51B 5.03B 4.84B 4.21B 3.75B 3.53B 3.11B 3.21B 2.72B 2.61B 2.47B 2.53B 2.23B 1.85B 1.84B 1.76B 1.39B
Total Current Assets
10.76B 9.08B 8.68B 8.78B 7.98B 7.44B 7.08B 6.86B 6.92B 6.36B 6.11B 6.59B 6.82B 6.18B 5.49B 5.52B 5.25B 4.29B
Property-Plant & Equipment
434.32M 401.52M 377.7M 378.42M 357.76M 351.83M 343.15M 329.99M 329.15M 310.39M 294.69M 272.59M 260.59M 254.43M 236.29M 220.64M 216.68M 200.16M
Goodwill & Intangibles
8.71B 8.6B 8.4B 8.08B 7.5B 7.71B 7.73B 7.72B 7.58B 7.58B 7.33B 7.24B 7.3B 7.5B 7.41B 7.47B 7.32B 6.74B
Total Long-Term Assets
9.68B 9.47B 9.28B 8.86B 8.22B 8.39B 8.39B 8.4B 8.26B 8.23B 7.98B 7.9B 7.89B 8.05B 7.92B 7.93B 7.77B 7.14B
Total Assets
20.44B 18.55B 17.96B 17.64B 16.2B 15.83B 15.48B 15.26B 15.18B 14.59B 14.09B 14.49B 14.71B 14.22B 13.4B 13.45B 13.03B 11.43B
Account Payables
1.97B 1.81B 1.57B 1.83B 1.9B 1.85B 1.62B 1.9B 1.68B 1.91B 1.57B 1.69B 2.01B 1.96B 1.41B 1.73B 1.58B 1.35B
Deferred Revenue
4.14B 3.23B 3.27B 3.2B 2.76B 2.53B 2.4B 1.78B 2.01B 1.48B 1.51B 1.6B 1.69B 1.59B 1.79B 1.53B 1.57B 1.12B
Short-Term Debt
2.25B 2.25B 2.77B 2.49B 2.52B 1.9B 2.13B 2.35B 2.07B 2.1B 2.31B 2.48B 2.11B 1.93B 1.52B 1.9B 1.35B 1.36B
Other Current Liabilities
823.21M 529.59M 656.42M 393.62M 292.59M 256.53M 320.61M 320.39M 279.07M 312.69M 303.52M 478.28M 275.26M 244.54M 208.61M 177.75M 195.76M 203.2M
Total Current Liabilities
9.64B 8.24B 8.71B 8.35B 7.84B 6.95B 6.83B 6.74B 6.44B 6.2B 6.04B 6.64B 6.43B 6.09B 5.29B 5.67B 4.98B 4.31B
Long-Term Debt
5.87B 5.92B 5.23B 5.27B 4.82B 4.86B 4.6B 4.64B 4.68B 4.7B 4.72B 4.75B 4.77B 4.42B 4.46B 3.79B 3.73B 3.08B
Other Long-Term Liabilities
579.96M 469.52M 437.88M 440.59M 315.55M 261.06M 301.75M 280.64M 262.24M 257.29M 254.01M 304.24M 256.67M 220.05M 221.39M 258.7M 259.06M 233.74M
Total Long-Term Liabilities
6.83B 6.82B 6.1B 6.17B 5.58B 5.6B 5.37B 5.47B 5.48B 5.5B 5.5B 5.62B 5.59B 5.23B 5.25B 4.61B 4.56B 3.82B
Total Liabilities
16.47B 15.05B 14.81B 14.52B 13.42B 12.55B 12.19B 12.21B 11.92B 11.71B 11.55B 12.26B 12.02B 11.32B 10.54B 10.28B 9.54B 8.13B
Total Debt
8.12B 8.17B 8B 7.76B 7.33B 6.76B 6.72B 6.98B 6.75B 6.8B 7.04B 7.22B 6.88B 6.34B 5.98B 5.69B 5.08B 4.45B
Common Stock
132K 132K 131K 130K 130K 130K 129K 129K 128K 128K 128K 128K 128K 127K 127K 127K 127K 127K
Retained Earnings
9.72B 9.44B 9.2B 8.95B 8.67B 8.42B 8.19B 7.94B 7.67B 7.43B 7.21B 6.99B 6.74B 6.47B 6.26B 6.03B 5.8B 5.6B
Comprehensive Income
-1.44B -1.61B -1.71B -1.46B -1.5B -1.34B -1.29B -1.36B -1.36B -1.43B -1.51B -1.66B -1.41B -1.26B -1.46B -1.44B -1.27B -1.48B
Shareholders Equity
3.93B 3.45B 3.12B 3.09B 2.75B 3.25B 3.28B 3.06B 3.26B 2.88B 2.54B 2.23B 2.69B 2.9B 2.87B 3.17B 3.49B 3.3B
Total Investments
58.32M 62.67M 60.09M 64.61M 64.04M 68.3M 69.52M 67.96M 69.72M 67.59M 74.28M 74.35M 67.07M 71.06M 52.02M 11.86M 11.86M 11.86M