DISH Network Corporation

NASDAQ: DISH · Real-Time Price · USD
5.77
0.11 (1.94%)
At close: Dec 29, 2023, 10:00 PM

DISH Network Balance Sheet Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year 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 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
791.74M 626.97M 2.43B 211.56M 279.37M 373.64M 851.97M 1.04B 2.23B 1.79B 817.51M 2.63B 2.7B 2.43B 2.28B 3.68B 4.44B
Short-Term Investments
172.86M 286K 172K 160K 442K 8.12M 182.82M 747.75M 312.12M 835.98M 103.06M 121.92M 538.77M 2.98B 2.97B 1.15B 135.49M
Long-Term Investments
34.96M 35.48M 64.33M 121.39M 131.83M 108.88M 180.33M 177.51M 167.28M 168.2M 168.57M 143.27M 141.04M 150.94M 155.03M 153.94M 152.72M
Other Long-Term Assets
31.19B 31.25B 30.98B 30.74B 30.83B 38.46B 1.89B 1.94B 1.97B 2B 1.08B 1.06B 8.4B 6.27B 1.07B 1.23B 1.11B
Receivables
896.13M 922M 859.38M 838.77M 1.05B 890.33M 802.6M 840.53M 916.9M 953.81M 965.39M 1.05B 1.09B 942.56M 1B 977.28M 1.09B
Inventory
252.45M 303.33M 268.65M 393.62M 463.42M 497.06M 572.59M 490.67M 523.02M 502.37M 570.54M 585.76M 536.89M 534.94M 470.83M 385.4M 375.08M
Other Current Assets
689.58M 626.68M 617.04M 564.35M 2.41M 574.51M 737.99M 553.84M 536.77M 532.89M 485.36M 448.79M 433.72M 641.98M 557.84M 412.67M 480.55M
Total Current Assets
2.8B 2.48B 4.17B 2.01B 2.39B 2.34B 3.15B 3.67B 4.52B 4.61B 2.94B 4.84B 5.3B 7.52B 7.28B 6.6B 6.52B
Property-Plant & Equipment
10.2B 10.36B 10.29B 10.35B 7.27B 10.34B 10.28B 9.9B 9.16B 7.59B 7.51B 6.75B 5.84B 4.75B 3.59B 2.67B 2.29B
Goodwill & Intangibles
60.39M 63.86M 67.39M 74.73M 114.84M 159.49M 38.25B 38B 37.75B 38.24B 37.3B 37.06B 29.52B 29.31B 29.12B 28.96B 28.74B
Total Long-Term Assets
41.49B 41.72B 41.4B 41.28B 41.04B 49.07B 50.6B 50.02B 49.04B 48B 46.06B 45.02B 43.91B 40.48B 33.94B 33.02B 32.3B
Total Assets
44.29B 44.19B 45.57B 43.29B 43.44B 51.41B 53.74B 53.69B 53.56B 52.61B 49B 49.86B 49.2B 48B 41.21B 39.62B 38.81B
Account Payables
644.89M 696.28M 678.35M 599.61M 491.86M 673.29M 687.74M 966.06M 928.88M 924.44M 902.16M 815.1M 941.5M 848.22M 693.18M 523.18M 488.77M
Deferred Revenue
573.22M 569.07M 570.89M 587.91M 611.31M 638.47M 595.42M 602.57M 664.14M 711.47M 687.71M 693.01M 717.13M 761.35M 746.62M 762.35M 816.06M
Short-Term Debt
1.08B 955.33M 2.6B 2.1B 2.08B 3.04B 1.07B 1.11B 1.11B 1.55B 1.59B 3.23B 3.57B 2.06B 2.07B 76.35M 1.88B
Other Current Liabilities
3.24B 3.19B 3.44B 3.38B 1.58B 3.24B 3.44B 3.01B 3.19B 2.84B 2.76B 2.88B 2.82B 2.84B 2.8B 2.67B 2.63B
Total Current Liabilities
5.54B 5.41B 7.29B 6.67B 6.69B 7.59B 5.79B 5.69B 5.89B 6.02B 5.94B 7.62B 8.05B 6.52B 6.31B 4.04B 5.81B
Long-Term Debt
51.36B 51.17B 60.02B 56.25B 22.86B 47.76B 23.27B 23.2B 23.22B 22.49B 20.35B 20.12B 19.8B 20.81B 14.96B 16.42B 14.75B
Other Long-Term Liabilities
n/a n/a n/a n/a 3.03B n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Total Long-Term Liabilities
59.55B 59.48B 68.29B 65.47B 35.18B 53.18B 29.14B 29.08B 29.01B 28.17B 25.63B 25.26B 24.76B 25.56B 19.57B 20.86B 18.97B
Total Liabilities
39.06B 38.51B 44.27B 41.78B 41.87B 34.18B 34.93B 34.77B 34.89B 34.2B 31.57B 32.88B 32.81B 32.08B 25.88B 24.9B 24.79B
Total Debt
52.43B 52.12B 62.62B 58.34B 24.94B 50.8B 24.34B 24.31B 24.33B 24.04B 21.95B 23.35B 23.37B 22.87B 17.02B 16.49B 16.63B
Common Stock
n/a n/a n/a n/a n/a n/a 5.34M 5.34M 5.32M 5.31M 5.31M 5.3M 5.29M 5.29M 5.29M 5.28M 5.27M
Retained Earnings
-382.56M -193.03M -562.85M -352.33M -140.48M 11.88B 13.37B 13.51B 13.31B 13.09B 12.15B 11.74B 11.22B 10.79B 10.23B 9.68B 9.01B
Comprehensive Income
-2.77M -2.76M -2.4M -2.32M -2.28M -2.68M -2.05M -2.43M -2.55M -3.03M -1.22M 199K 58K 281K 1.2M 762K 484K
Shareholders Equity
4.79B 5.24B 855.54M 1.06B 1.12B 16.79B 18.28B 18.41B 18.18B 17.94B 16.99B 16.55B 15.98B 15.53B 14.95B 14.35B 13.66B
Total Investments
207.82M 35.77M 64.5M 121.55M 132.28M 117M 290.17M 925.25M 479.4M 1B 271.62M 265.19M 679.82M 3.13B 3.12B 1.31B 288.2M