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AlTi Global, Inc

ALTI
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3.600USD
0.0000.00%
Close 07-31 16:00ETQuotes delayed by 15 min
545.82MMarket Cap
LossP/E TTM

ALTI Balance Sheet

You can check out the annual or quarterly balance sheets of AlTi Global, Inc here to evaluate the financial health, analyze fundamentals, and calculate key ratios for liquidity, leverage, and return on equity.
Quarterly
Quarterly+Annual
Quarterly
Annual
YOY
Hide blank rows
FY2026Q1
FY2025Q4
FY2025Q3
FY2025Q2
FY2025Q1
FY2024Q4
FY2024Q3
FY2024Q2
FY2024Q1
FY2023Q4
FY2023Q3
FY2023Q2
FY2023Q1
FY2022Q4
FY2022Q3
FY2022Q2
FY2021Q4
Total equity
- Cash and cash equivalents
-26.61%33.72M
-38.56%34.16M
-87.33%27.25M
-33.41%35.41M
-64.67%45.94M
262.22%55.59M
2344.72%215.04M
120.63%53.18M
630.96%130.04M
115.23%15.35M
96.47%8.80M
434.74%24.11M
--17.79M
-11.31%7.13M
--4.48M
--4.51M
--8.04M
Restricted cash
-13.04%6.00M
-29.29%7.00M
21.13%8.60M
2.94%7.00M
64.29%6.90M
--9.90M
108.82%7.10M
--6.80M
--4.20M
----
--3.40M
----
----
----
----
----
----
Non-current assets
Net Fixed Assets
-4.76%63.00M
-3.31%64.38M
14.05%66.99M
18.04%68.45M
28.42%66.15M
30.94%66.58M
83.00%58.73M
79.94%57.99M
63.51%51.51M
359.30%50.84M
253.05%32.09M
227.74%32.23M
--31.50M
809.12%11.07M
--9.09M
--9.83M
--1.22M
-Fixed Assets
-1.77%70.26M
-0.64%71.04M
10.45%72.84M
14.96%74.38M
25.42%71.52M
25.93%71.50M
83.01%65.95M
81.18%64.70M
46.17%57.03M
264.88%56.78M
167.38%36.04M
154.33%35.71M
--39.02M
--15.56M
--13.48M
--14.04M
----
-Accumulated depreciation
34.99%7.26M
35.42%6.67M
-18.92%5.85M
-11.68%5.92M
-2.57%5.38M
-17.03%4.92M
83.05%7.21M
92.59%6.71M
-26.55%5.52M
32.14%5.94M
-10.16%3.94M
-17.24%3.48M
--7.51M
--4.49M
--4.39M
--4.21M
----
Goodwill and other intangible assets
-3.63%815.90M
-2.98%822.12M
-3.93%825.81M
-8.31%867.60M
0.73%846.60M
-0.02%847.40M
-5.61%859.57M
-10.79%946.23M
-21.59%840.46M
1740.86%847.58M
1892.19%910.62M
2163.59%1.06B
--1.07B
22.23%46.04M
--45.71M
--46.86M
--37.67M
Total assets
-6.15%1.14B
-6.32%1.18B
-17.90%1.15B
-6.04%1.24B
-6.70%1.21B
-0.85%1.26B
13.97%1.41B
-5.91%1.32B
-8.21%1.30B
1276.87%1.27B
1317.82%1.23B
1488.07%1.41B
--1.42B
22.56%91.99M
--87.02M
--88.52M
--75.06M
Liabilities
Current liabilities
Short-term debt and lease liabilities
----
--337.00K
-93.28%84.00K
-93.28%168.00K
----
----
--1.25M
--2.50M
0.00%3.75M
----
----
--0.00
--3.75M
----
----
----
----
Non-current liabilities
Long-term debt and lease liabilities
--15.05M
--546.00K
-99.61%502.00K
-99.69%505.00K
-100.00%0.00
-100.00%0.00
-26.41%127.17M
-4.50%161.49M
35.02%179.91M
779.56%186.35M
691.69%172.80M
644.35%169.09M
--133.25M
81.13%21.19M
--21.83M
--22.72M
--11.70M
-Long-term debt
--15.05M
--546.00K
-99.61%502.00K
-99.69%505.00K
----
-100.00%0.00
-26.41%127.17M
-4.50%161.49M
35.02%179.91M
779.56%186.35M
691.69%172.80M
644.35%169.09M
--133.25M
81.13%21.19M
--21.83M
--22.72M
--11.70M
Total liabilities
6.49%255.69M
5.61%301.66M
-26.19%270.59M
-36.73%252.58M
-40.21%240.10M
-40.31%285.64M
-5.52%366.60M
4.32%399.21M
-11.82%401.60M
545.49%478.54M
576.32%388.02M
592.81%382.69M
--455.45M
111.60%74.14M
--57.37M
--55.24M
--35.04M
Shareholders' equity
Common equity
3.29%676.11M
2.21%667.31M
3.71%667.72M
21.02%665.62M
18.22%654.60M
24.77%652.87M
23.82%643.84M
6.54%550.01M
19.78%553.73M
2711.74%523.26M
1587.01%520.00M
1422.94%516.27M
--462.28M
-52.99%18.61M
--30.82M
--33.90M
--39.59M
Retained earnings
-38.27%-410.31M
-40.95%-418.01M
-69.55%-404.90M
-88.50%-320.77M
-80.74%-296.74M
-55.63%-296.56M
-68.22%-238.81M
-219.61%-170.17M
-69.81%-164.18M
---190.55M
---141.97M
---53.24M
---96.69M
----
----
----
----
Capital reserves
3.29%676.10M
2.21%667.30M
3.71%667.71M
21.02%665.61M
18.22%654.59M
24.77%652.86M
23.81%643.83M
6.53%550.00M
19.78%553.72M
--523.25M
--520.00M
--516.26M
--462.27M
----
----
----
----
Less: Treasury stock
100.53%5.69M
--0.00
----
--0.00
--2.84M
----
----
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Gains losses not affecting retained earnings
742.56%6.39M
417.08%4.97M
40.10%4.65M
0.26%6.96M
-87.95%759.00K
-117.01%-1.57M
-16.70%3.32M
-24.40%6.94M
27.48%6.30M
956.04%9.22M
361.85%3.99M
1031.50%9.18M
--4.94M
---1.08M
---1.52M
---985.72K
----
Non-controlling interests
-14.22%263.81M
-11.90%274.68M
-16.79%276.65M
-20.48%304.79M
-20.61%307.55M
-30.11%311.79M
-28.30%332.48M
-30.42%383.30M
-34.36%387.40M
139370.62%446.09M
133845.00%463.74M
149697.81%550.85M
--590.17M
-26.13%319.85K
--346.21K
--367.73K
--432.96K
Total equity
-9.27%882.52M
-9.83%874.79M
-14.97%883.83M
7.22%990.19M
8.28%972.70M
23.12%970.20M
22.91%1.04B
-9.73%923.52M
-6.49%898.34M
4314.11%788.03M
2752.76%845.76M
2973.96%1.02B
--960.71M
-55.39%17.85M
--29.65M
--33.28M
--40.02M
Currency unit
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--USD
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--USD
--USD
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--USD
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--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
Audit opinions
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FAQs

Which balance sheet metrics matter most when analyzing ALTI stock?

Important metrics include cash and short-term investments, total assets, current assets, total liabilities, current liabilities, long-term debt, shareholders' equity, retained earnings, inventory, receivables, working capital, current ratio, quick ratio, debt-to-equity ratio, and return on equity. Investors usually review these together rather than relying on one number.

What is the difference between assets, liabilities, and shareholders' equity?

Assets are resources the company owns or controls, such as cash, receivables, inventory, investments, and property. Liabilities are obligations the company owes, such as accounts payable, debt, leases, and taxes. Shareholders' equity is the residual value after liabilities are subtracted from assets.

What is the difference between current and non-current items?

Current assets and current liabilities are generally expected to be converted, used, paid, or settled within one year or one operating cycle. Non-current assets and non-current liabilities are longer-term items, such as property, long-term investments, deferred tax assets, long-term debt, and lease obligations.

How Much Cash Does AlTi Global, Inc Have?

In its most recent quarterly, AlTi Global, Inc had 33.72M in cash and cash equivalents.

How Much Shareholders' Equity Does AlTi Global, Inc Have?

AlTi Global, Inc reported 874.79M in total shareholders' equity as of the latest reported quarter.
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