Infinera Corporation

NASDAQ: INFN · Real-Time Price · USD
6.64
0.00 (0.00%)
At close: Feb 27, 2025, 3:59 PM

Infinera Balance Sheet Statement

Financials in USD. Fiscal year is January - December.
Fiscal Year 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 Dec 28, 2024 Sep 28, 2024 Jun 29, 2024 Mar 30, 2024 Dec 30, 2023 Sep 30, 2023 Jul 1, 2023 Apr 1, 2023 Dec 31, 2022 Sep 24, 2022 Jun 25, 2022 Mar 26, 2022 Dec 25, 2021 Sep 25, 2021 Jun 26, 2021 Mar 27, 2021
Cash & Equivalents
145.81M 115.09M 115M 191.33M 173.02M 125.65M 163.01M 163.76M 178.66M 206.99M 152M 191.94M 190.61M 203.48M 219.74M 234.03M
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
Long-Term Investments
n/a n/a 649K 830K 837K 984K 1.3M 2.1M 3.27M 3.03M 3.18M 5.56M 9.07M 10.08M 10.65M 12.23M
Other Long-Term Assets
62.06M 57.57M 57.41M 53.38M 50.66M 45.91M 47.16M 42.27M 48.24M 39.52M 39.81M 39.91M 38.48M 37.72M 40M 40.04M
Receivables
336.55M 288.26M 284.38M 265.07M 381.98M 328.86M 325.65M 334.43M 419.74M 284M 302.93M 276.06M 358.95M 273.37M 281.02M 276.86M
Inventory
308.21M 356.12M 384.26M 420.67M 431.16M 456.88M 427.39M 412.94M 374.86M 331.06M 309.6M 291.69M 291.37M 289.61M 274.03M 262.83M
Other Current Assets
155.25M 162.6M 167.48M 137.81M 129.74M 128.87M 139.22M 159.1M 159.72M 8.95M 21.14M 6.53M 2.84M 2.84M 2.84M 3.29M
Total Current Assets
945.82M 922.08M 950.79M 1.01B 1.12B 1.04B 1.06B 1.07B 1.13B 981.87M 926.01M 927.4M 991.76M 909.51M 914.23M 916.24M
Property-Plant & Equipment
285.84M 270.55M 259M 244.34M 246.97M 230.59M 222.7M 211.44M 207.47M 195.45M 196.72M 196.87M 205.56M 214.19M 220.48M 218.06M
Goodwill & Intangibles
240.03M 255.56M 250.99M 252.22M 265.38M 252.29M 261.02M 274.44M 280.45M 279.82M 303.08M 325.8M 342.36M 361.96M 375.15M 380.38M
Total Long-Term Assets
587.94M 583.68M 568.05M 550.77M 563.85M 529.78M 530.87M 528.15M 536.17M 517.81M 542.79M 568.14M 595.46M 623.95M 646.29M 650.71M
Total Assets
1.53B 1.51B 1.52B 1.57B 1.68B 1.57B 1.59B 1.6B 1.67B 1.5B 1.47B 1.5B 1.59B 1.53B 1.56B 1.57B
Account Payables
284.99M 259.23M 237.9M 239.24M 299M 282.12M 279.64M 275.18M 304.88M 246.12M 208.88M 188.46M 216.4M 173.3M 172.96M 151.98M
Deferred Revenue
134.73M 116.33M 140.93M 141.55M 136.25M 100.78M 135.51M 153.29M 158.5M 106.74M 116.04M 129.8M 137.3M 107.83M 119.91M 124.28M
Short-Term Debt
482K 10.47M 25.27M 25.38M 25.51M 25.64M 7.02M 7.15M 510K 547K 540K 495K 533K 483K 424K 25.07M
Other Current Liabilities
206.57M 48.68M 116.67M 89.86M 90.87M 75.88M 83.27M 84.91M 106.74M 103.18M 103.85M 99.48M 109.13M 116.73M 100.28M 94.9M
Total Current Liabilities
626.77M 584.43M 604.45M 614.3M 673.99M 614.83M 629.41M 634.23M 703.94M 578.18M 555.18M 562.5M 612.49M 520.19M 514.71M 505.93M
Long-Term Debt
41.6M 667.21M 660.42M 659.58M 658.76M 657.94M 675.99M 661.74M 667.72M 667.07M 640.08M 599.47M 476.79M 468.84M 461.08M 528.3M
Other Long-Term Liabilities
716.55M 52.32M 49.95M 57.67M 58.17M 46.58M 47.4M 46.89M 46.45M 67.23M 73.2M 80.76M 85.87M 105.7M 108.51M 31.86M
Total Long-Term Liabilities
790.47M 787.49M 782.8M 789.32M 788.65M 772.26M 789.55M 777.9M 785.55M 807.3M 797.06M 762.83M 650.97M 673M 669.22M 667.68M
Total Liabilities
1.42B 1.37B 1.39B 1.4B 1.46B 1.39B 1.42B 1.41B 1.49B 1.39B 1.35B 1.33B 1.26B 1.19B 1.18B 1.17B
Total Debt
42.08M 735.73M 747.54M 743.49M 745.76M 740.92M 725.35M 713.53M 714.09M 729.38M 707.82M 666.29M 531.65M 552.52M 549.06M 570.97M
Common Stock
237K 236K 235K 232K 231K 229K 226K 225K 220K 219K 216K 213K 211K 210K 208K 205K
Retained Earnings
-1.88B -1.85B -1.83B -1.79B -1.72B -1.74B -1.73B -1.71B -1.7B -1.73B -1.72B -1.67B -1.7B -1.66B -1.61B -1.58B
Comprehensive Income
-33.39M -30.41M -32.83M -43.03M -34.85M -45.16M -47.26M -31.03M -22.47M -39.13M -29.54M -15.61M -4.5M -10.41M -8.53M -14.87M
Shareholders Equity
116.52M 133.85M 131.59M 161.54M 216.59M 181.23M 167.18M 186.26M 179.65M 114.2M 116.56M 170.21M 323.77M 340.27M 376.59M 393.35M
Total Investments
n/a 446K 649K 830K 837K 984K 1.3M 2.1M 3.27M 3.03M 3.18M 5.56M 9.07M 10.08M 10.65M 12.23M