Standard Motor Products I...
(SMP)
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At close: undefined
33.54
0.36%
After-hours Dec 13, 2024, 07:00 PM EST
Balance Sheet (Annual)
Get detailed breakdowns of the balance-sheet with total debts,
total investments, and much more.
Year | FY23 | FY22 | FY21 | FY20 | FY19 | FY18 | FY17 | FY16 | FY15 | FY14 | FY13 | FY12 | FY11 | FY10 | FY09 | FY08 | FY07 | FY06 | FY05 | FY04 | FY03 | FY02 | FY01 | FY00 | FY99 | FY98 | FY97 | FY96 | FY95 | FY94 | FY93 | FY92 | FY91 | FY90 | FY89 | FY88 | FY87 | FY86 | FY85 |
Cash & Equivalents | 32.53M | 21.15M | 21.75M | 19.49M | 10.37M | 11.14M | 17.32M | 19.80M | 18.80M | 13.73M | 5.56M | 13.07M | 10.87M | 12.13M | 10.62M | 6.61M | 13.26M | 22.35M | 14.05M | 14.93M | 19.65M | 9.69M | 7.50M | 7.70M | 40.40M | 23.50M | 16.80M | 4.70M | 10.90M | 2.80M | 12.30M | 17.00M | 24.00M | 10.70M | 4.00M | 23.50M | 22.80M | 21.10M | 20.50M |
Short-Term Investments | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | 7.20M | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
Long-Term Investments | 33.46M | 41.74M | 44.09M | 40.51M | 38.86M | 32.47M | 31.18M | 19.92M | 20.62M | 20.00M | 6.31M | -11.09M | -16.94M | -21.35M | -29.54M | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
Other Long-Term Assets | 25.86M | 27.51M | 25.40M | 21.82M | 18.84M | 15.62M | 15.10M | 13.64M | 16.82M | 18.59M | 16.35M | 21.25M | 27.85M | 34.94M | 44.96M | 16.20M | 19.51M | 17.44M | 44.15M | 42.02M | 41.96M | 23.20M | 40.79M | 31.42M | 33.10M | 30.50M | 29.90M | 45.00M | 37.20M | 29.40M | 16.50M | 8.10M | 5.10M | 7.60M | 6.60M | 1.00M | 3.40M | 1.80M | 2.20M |
Receivables | 160.28M | 167.64M | 180.60M | 198.04M | 126.64M | 157.53M | 140.06M | 134.63M | 123.85M | 126.52M | 125.20M | 98.56M | 104.11M | 104.99M | 124.82M | 174.40M | 204.44M | 183.66M | 176.29M | 151.35M | 174.22M | 117.64M | 117.97M | 106.26M | 119.60M | 122.00M | 151.00M | 156.80M | 112.40M | 110.00M | 97.80M | 83.80M | 78.30M | 81.20M | 108.70M | 91.70M | 79.70M | 72.30M | 56.70M |
Inventory | 525.32M | 548.41M | 491.02M | 365.13M | 387.94M | 370.30M | 326.41M | 312.48M | 285.79M | 278.05M | 269.45M | 267.47M | 248.10M | 241.16M | 199.75M | 232.44M | 252.28M | 233.97M | 243.30M | 258.64M | 253.75M | 174.78M | 177.29M | 234.26M | 188.40M | 174.10M | 189.00M | 229.20M | 206.30M | 185.90M | 164.20M | 153.20M | 178.60M | 214.30M | 182.80M | 161.80M | 117.60M | 109.70M | 64.50M |
Other Current Assets | 26.10M | 25.24M | 17.82M | 15.88M | 15.60M | 7.26M | 24.60M | 7.32M | 61.96M | 58.93M | 56.11M | 39.45M | 37.90M | 34.50M | 38.51M | 34.15M | 33.12M | 21.86M | 22.05M | 22.29M | 20.55M | 19.04M | 26.20M | 24.54M | 26.30M | 22.90M | 33.70M | 27.80M | 35.90M | 30.20M | 29.50M | 11.30M | 10.60M | 14.70M | 17.50M | 4.90M | 3.30M | 1.20M | 200.00K |
Total Current Assets | 744.22M | 762.44M | 711.21M | 598.54M | 549.43M | 546.22M | 496.09M | 514.85M | 479.74M | 466.03M | 446.08M | 418.55M | 400.99M | 384.71M | 364.21M | 447.60M | 503.11M | 461.84M | 455.69M | 447.22M | 468.17M | 328.36M | 328.95M | 372.76M | 374.70M | 342.50M | 390.50M | 418.50M | 365.50M | 328.90M | 303.80M | 265.30M | 291.50M | 320.90M | 313.00M | 281.90M | 223.40M | 204.30M | 141.90M |
Property-Plant & Equipment | 221.94M | 156.99M | 143.25M | 119.06M | 125.67M | 90.75M | 89.10M | 78.50M | 68.88M | 64.61M | 63.65M | 64.42M | 64.04M | 60.67M | 61.48M | 66.90M | 71.78M | 80.09M | 85.81M | 97.42M | 112.55M | 103.82M | 101.65M | 104.54M | 106.60M | 109.40M | 126.00M | 126.90M | 109.50M | 104.10M | 103.00M | 101.50M | 96.20M | 93.60M | 86.40M | 71.00M | 50.40M | 43.10M | 30.60M |
Goodwill & Intangibles | 227.04M | 232.59M | 237.89M | 131.84M | 142.66M | 115.73M | 123.67M | 131.29M | 84.27M | 89.38M | 72.87M | 72.37M | 57.84M | 12.49M | 13.80M | 16.29M | 57.89M | 56.29M | 67.40M | 69.91M | 71.84M | 16.68M | 38.04M | 40.69M | 41.60M | 39.20M | 30.70M | 34.40M | - | - | - | - | - | - | - | - | - | - | - |
Total Long-Term Assets | 548.82M | 492.49M | 486.76M | 358.00M | 363.30M | 296.91M | 291.48M | 253.85M | 201.32M | 207.52M | 169.45M | 158.04M | 149.74M | 108.09M | 120.25M | 127.43M | 174.99M | 178.25M | 197.35M | 209.35M | 226.35M | 162.40M | 180.48M | 176.64M | 181.30M | 179.10M | 186.60M | 206.30M | 146.70M | 133.50M | 119.50M | 109.60M | 101.30M | 101.20M | 93.00M | 72.00M | 53.80M | 44.90M | 32.80M |
Total Assets | 1.29B | 1.25B | 1.20B | 956.54M | 912.73M | 843.13M | 787.57M | 768.70M | 681.06M | 673.55M | 615.52M | 576.59M | 550.72M | 492.80M | 484.46M | 575.03M | 678.09M | 640.09M | 653.04M | 656.57M | 694.52M | 490.76M | 509.43M | 549.40M | 556.00M | 521.60M | 577.10M | 624.80M | 512.20M | 462.40M | 423.30M | 374.90M | 392.80M | 422.10M | 406.00M | 353.90M | 277.20M | 249.20M | 174.70M |
Account Payables | 107.45M | 89.25M | 137.17M | 100.02M | 92.53M | 94.36M | 77.99M | 83.88M | 72.71M | 70.67M | 71.47M | 62.28M | 50.88M | 49.92M | 54.38M | 68.31M | 64.38M | 53.78M | 52.53M | 46.49M | 58.03M | 35.74M | 26.11M | 56.61M | 41.70M | 48.40M | 36.40M | 30.60M | 36.60M | 40.50M | 41.40M | 27.10M | 33.90M | 32.70M | 25.60M | - | - | - | - |
Deferred Revenue | - | 33.66M | - | - | 68.47M | 88.70M | 35.92M | 40.18M | 38.81M | 30.62M | 31.46M | 29.03M | 25.07M | 23.21M | 20.44M | 38.29M | 44.64M | 42.47M | 72.11M | 54.34M | 101.53M | 16.34M | 18.17M | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
Short-Term Debt | 22.17M | 55.03M | 128.41M | 10.13M | 56.92M | 49.07M | 61.70M | 54.85M | 47.44M | 56.73M | 21.46M | 40.57M | 73.11M | 65.29M | 58.50M | 193.88M | 164.78M | 140.34M | 149.78M | 109.95M | 103.05M | 7.48M | 5.86M | 52.57M | 31.60M | 26.00M | 80.30M | 92.10M | 24.50M | 26.60M | 10.00M | 15.30M | 99.10M | 109.80M | 102.80M | 87.10M | 24.30M | 6.00M | 14.70M |
Other Current Liabilities | 174.64M | 178.85M | 210.79M | 192.45M | 151.14M | 169.16M | 146.21M | 145.11M | 123.76M | 123.42M | 127.38M | 119.32M | 104.89M | 99.62M | 91.75M | 80.80M | 90.87M | 84.40M | 83.61M | 96.02M | 115.76M | 68.21M | 68.62M | 75.48M | 95.60M | 89.80M | 96.40M | 84.00M | 72.20M | 72.60M | 48.20M | 32.00M | 27.40M | 32.50M | 20.40M | 48.60M | 46.60M | 46.90M | 20.70M |
Total Current Liabilities | 304.26M | 323.13M | 476.37M | 302.60M | 309.46M | 312.59M | 285.90M | 283.84M | 243.92M | 250.83M | 220.32M | 222.17M | 228.88M | 214.83M | 204.62M | 343.00M | 320.03M | 278.52M | 285.92M | 252.46M | 276.84M | 111.43M | 100.59M | 184.67M | 168.90M | 164.20M | 213.10M | 206.70M | 133.30M | 139.70M | 99.60M | 74.40M | 160.40M | 175.00M | 148.80M | 135.70M | 70.90M | 52.90M | 35.40M |
Long-Term Debt | 240.16M | 225.30M | 31.23M | 22.55M | 28.50M | 153.00K | 79.00K | 120.00K | 62.00K | 83.00K | 16.00K | 75.00K | 190.00K | 307.00K | 17.91M | 273.00K | 90.53M | 97.98M | 98.55M | 114.24M | 114.76M | 169.44M | 200.07M | 150.02M | 163.90M | 133.70M | 159.10M | 172.40M | 148.70M | 109.90M | 130.50M | 136.10M | 73.30M | 90.20M | 103.20M | 60.50M | 54.00M | 56.20M | 18.30M |
Other Long-Term Liabilities | 97.75M | 85.46M | 77.74M | 81.16M | 70.53M | 63.19M | 47.94M | 43.71M | 45.11M | 48.49M | 45.76M | 46.76M | 49.70M | 67.78M | 68.05M | 68.21M | 79.16M | 72.89M | 82.87M | 82.56M | 76.89M | 56.01M | 23.08M | 20.41M | 19.70M | 18.70M | 18.40M | 18.60M | 14.10M | 12.80M | 11.40M | - | 100.00K | 100.00K | -100.00K | 100.00K | - | - | 100.00K |
Total Long-Term Liabilities | 337.91M | 310.76M | 108.97M | 103.70M | 99.04M | 63.34M | 48.02M | 43.83M | 45.17M | 48.57M | 45.77M | 46.84M | 49.89M | 68.09M | 85.96M | 68.49M | 169.69M | 170.87M | 181.41M | 196.80M | 191.65M | 225.45M | 223.15M | 170.42M | 183.60M | 152.40M | 180.60M | 195.20M | 168.50M | 127.60M | 145.50M | 139.40M | 77.10M | 96.10M | 111.50M | 67.00M | 60.20M | 60.70M | 18.40M |
Total Liabilities | 642.17M | 633.89M | 585.33M | 406.30M | 408.50M | 375.93M | 333.91M | 327.67M | 289.08M | 299.40M | 266.09M | 269.01M | 278.77M | 282.92M | 290.58M | 411.48M | 489.73M | 449.39M | 467.34M | 449.26M | 468.48M | 336.88M | 323.74M | 355.09M | 352.50M | 316.60M | 393.70M | 401.90M | 301.80M | 267.30M | 245.10M | 213.80M | 237.50M | 271.10M | 260.30M | 202.70M | 131.10M | 113.60M | 53.80M |
Total Debt | 245.19M | 280.33M | 159.64M | 32.68M | 85.42M | 49.22M | 61.78M | 54.98M | 47.51M | 56.82M | 21.48M | 40.65M | 73.30M | 65.60M | 76.41M | 194.16M | 255.31M | 238.32M | 248.33M | 224.19M | 217.81M | 176.92M | 205.93M | 202.59M | 195.50M | 159.70M | 239.40M | 264.50M | 173.20M | 136.50M | 140.50M | 151.40M | 172.40M | 200.00M | 206.00M | 147.60M | 78.30M | 62.20M | 33.00M |
Common Stock | 47.87M | 47.87M | 47.87M | 47.87M | 47.87M | 47.87M | 47.87M | 47.87M | 47.87M | 47.87M | 47.87M | 47.87M | 47.87M | 47.87M | 47.87M | 40.97M | 40.97M | 40.97M | 40.97M | 40.97M | 40.97M | 26.65M | 26.65M | 26.65M | 26.60M | - | - | - | - | - | - | - | - | - | - | - | - | - | - |
Retained Earnings | 573.23M | 564.24M | 532.32M | 463.61M | 417.44M | 380.11M | 357.15M | 336.46M | 291.48M | 259.16M | 228.04M | 186.69M | 153.56M | 97.53M | 80.08M | 76.60M | 106.15M | 112.48M | 109.65M | 120.22M | 141.55M | 148.69M | 183.53M | 190.25M | 184.80M | 181.70M | 161.50M | 200.20M | 189.80M | 177.90M | 158.50M | 145.20M | 140.50M | 138.00M | 134.50M | 125.50M | 120.50M | 108.40M | 94.00M |
Comprehensive Income | -5.97M | -12.47M | -8.17M | -5.68M | -8.59M | -9.59M | -4.11M | -11.03M | -6.47M | -2.65M | 1.79M | 3.88M | 3.30M | 716.00K | 5.47M | 7.80M | 5.55M | -3.54M | 4.16M | 4.80M | 4.81M | -2.58M | -3.72M | -591.00K | 700.00K | -96.10M | -102.80M | -88.90M | -75.00M | -63.20M | -52.90M | -42.90M | -36.80M | -34.20M | -30.30M | -25.80M | -20.50M | -17.40M | -14.60M |
Shareholders Equity | 635.06M | 610.02M | 601.58M | 550.24M | 504.23M | 467.20M | 453.65M | 441.03M | 391.98M | 374.15M | 349.43M | 307.59M | 271.95M | 209.88M | 193.88M | 163.54M | 188.36M | 190.70M | 185.71M | 207.31M | 226.04M | 153.88M | 185.69M | 194.31M | 203.50M | 205.50M | 183.80M | 223.30M | 210.40M | 195.10M | 178.20M | 161.10M | 155.30M | 151.00M | 145.70M | 151.20M | 146.10M | 135.60M | 120.90M |
Total Investments | 33.46M | 41.74M | 44.09M | 40.51M | 38.86M | 32.47M | 31.18M | 19.92M | 20.62M | 20.00M | 6.31M | -11.09M | -16.94M | -21.35M | -29.54M | - | - | - | - | - | - | 7.20M | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - | - |