LexinFintech Ltd.

NASDAQ: LX · Real-Time Price · USD
6.68
0.03 (0.45%)
At close: Aug 15, 2025, 3:59 PM
6.72
0.52%
After-hours: Aug 15, 2025, 06:24 PM EDT

LexinFintech Balance Sheet Statement

Financials in CNY. 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
3.17B 2.25B 2.15B 2.09B 1.94B 2.62B 2.53B 2.63B 2.29B 1.49B 2.11B 2.06B 2.3B 2.66B 2.55B 2.38B 2.34B
Short-Term Investments
n/a 80M 266.51M 345.19M n/a 200M n/a n/a n/a 270M n/a n/a n/a n/a n/a n/a n/a
Long-Term Investments
244.19M 284.2M 252.83M 255.64M 255.24M 255M 348.06M 349.59M 348.64M 348.38M 472.41M 473.85M 470.37M 469.06M 471.37M 472.92M 525.57M
Other Long-Term Assets
957.28M 1.03B 1.21B 2.61B 1.33B 1.81B 2.29B 2.48B 2.38B 2.28B 2.11B 1.96B 1.58B 1.56B 1.82B 1.71B 1.46B
Receivables
4.82B 5.79B 10.59B 10.47B 6.43B 6.67B 9.83B 4.58B 4.19B 7.14B 2.86B 6.44B 5.1B 4.71B 4.41B 4.26B 4.65B
Inventory
19.34M 22.34M 48.4M 45.03M 29.56M 33.6M 57.28M 54.81M 50.91M 53.92M 86.74M 67.28M 56.53M 47.82M 52.46M 46.56M 67.58M
Other Current Assets
8.12B 7.15B 2.85B 3.41B 9.34B 8.91B 9.02B 10.14B 11.84B 6.22B 11.86B 11.15B 10.04B 13.28B 8.28B 8.38B 8.65B
Total Current Assets
18.34B 17.91B 18.23B 18.73B 19.05B 18.5B 18.58B 18.63B 19.49B 17.78B 17.78B 17.12B 16.67B 16.66B 16.28B 16.02B 15.75B
Property-Plant & Equipment
636.94M 613.11M 578.87M 548.63M 483.88M 446.64M 428.02M 385.49M 327.19M 284.59M 242.67M 216.75M 214.65M 195.33M 156.76M 132.1M 123.91M
Goodwill & Intangibles
854.27M 862.87M 871.47M 880.07M 888.67M 897.27M 905.87M 914.47M 923.07M 931.67M 940.27M 948.87M 957.47M 966.07M 974.67M 983.27M 991.87M
Total Long-Term Assets
4.28B 4.33B 4.29B 4.29B 4.24B 4.64B 5.13B 5.26B 5.11B 4.99B 5.01B 4.94B 4.52B 4.37B 4.29B 4.11B 3.88B
Total Assets
22.62B 22.24B 22.53B 23.02B 23.29B 23.14B 23.71B 23.89B 24.6B 22.77B 22.8B 22.06B 21.19B 21.03B 20.57B 20.12B 19.63B
Account Payables
63.29M 74.44M 32.22M 42.97M 28.33M 1.12B 14.53M 39.77M 36.76M 408.51M 33.44M 60.38M 25.38M 441.47M 18.94M 37.54M 42.28M
Deferred Revenue
1.16B n/a 1.14B n/a 1.41B 1.57B 1.48B 1.28B 1.12B 894.86M 753.44M 592.63M 448.21M 419.84M 318.98M 413.73M 496.86M
Short-Term Debt
3.99B 3.45B 3.53B 2.95B 3.14B 4.49B 5.45B 5.8B 7.82B 7.62B 7.26B 4.67B 4.11B 4.9B 4.92B 5.32B 6.35B
Other Current Liabilities
769.4M 2.07B 1.27B 2.75B 3.08B 6.83B 3.11B 2.57B 2.22B 3.93B 1.6B 1.44B 1.34B 4.38B 1.5B 1.89B 2.08B
Total Current Liabilities
9.9B 9.6B 10.95B 10.56B 11.04B 12.32B 12.62B 11.84B 13.23B 12.48B 12.11B 9.51B 9.15B 10.19B 10.02B 10.41B 11.14B
Long-Term Debt
1.4B 1.78B 1.03B 2.25B 2.19B 1.03B 1.2B 2.57B 2.21B 1.59B 2.17B 4.16B 3.65B 2.58B 2.61B 2.52B 2.15B
Other Long-Term Liabilities
14.01M 114.16M 38.96M 71.19M 64.47M 75.34M 68.14M 48.13M 50.82M -50.38M 48.17M 92.61M 82.89M 54.34M 36.65M 36.52M 27.91M
Total Long-Term Liabilities
1.51B 1.9B 1.15B 2.37B 2.3B 1.11B 1.32B 2.68B 2.35B 1.64B 2.33B 4.37B 3.86B 2.77B 2.8B 2.58B 2.2B
Total Liabilities
11.41B 11.5B 12.1B 12.93B 13.35B 13.43B 13.94B 14.52B 15.58B 14.12B 14.44B 13.89B 13.01B 12.96B 12.81B 12.99B 13.34B
Total Debt
5.39B 5.27B 4.56B 5.21B 5.33B 5.51B 6.65B 8.37B 10.02B 9.1B 9.42B 8.83B 7.76B 7.48B 7.54B 7.84B 8.5B
Common Stock
246K 246K 242K 241K 241K 240K 239K 239K 239K 238K 237K 237K 238K 237K 237K 236K 235K
Retained Earnings
7.04B 7.78B 6.4B 7.19B 5.94B 5.74B 5.95B 5.58B 5.22B 4.89B 4.71B 4.44B 4.27B 4.2B 4.19B 3.61B 2.83B
Comprehensive Income
1.15B -29.56M 1.08B 1.08B 1.1B 1.09B 981.21M 981.17M 1.01B 1B 867.82M 892.99M 913.6M 912.6M 654.84M 655.77M 650.47M
Shareholders Equity
11.21B 10.74B 10.42B 10.09B 9.94B 9.71B 9.77B 9.37B 9.01B 8.65B 8.32B 8.13B 8.12B 8.03B 7.72B 7.09B 6.25B
Total Investments
244.19M 364.2M 519.35M 600.83M 255.24M 255M 348.06M 349.59M 348.64M 348.38M 472.41M 473.85M 470.37M 469.06M 471.37M 472.92M 525.57M