tradingkey.logo
tradingkey.logo
Search

PLAYSTUDIOS Inc

MYPS
Add to Watchlist
0.605USD
+0.012+2.07%
Close 07-31 16:00ETQuotes delayed by 15 min
77.68MMarket Cap
LossP/E TTM

MYPS Balance Sheet

You can check out the annual or quarterly balance sheets of PLAYSTUDIOS 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
FY2022Q1
FY2021Q4
FY2021Q3
FY2021Q2
FY2021Q1
FY2020Q4
Total equity
Cash, cash equivalents and short-term investments
-3.19%103.68M
-3.89%104.94M
1.09%106.32M
6.17%112.86M
-15.66%107.10M
-17.84%109.18M
-18.98%105.17M
-16.73%106.30M
-0.40%126.98M
-0.83%132.89M
-38.79%129.81M
-42.14%127.67M
-42.04%127.48M
-37.24%134.00M
-6.15%212.07M
-4.03%220.64M
457.23%219.97M
336.37%213.50M
--225.97M
--229.90M
--39.48M
--48.93M
- Cash and cash equivalents
-3.19%103.68M
-3.89%104.94M
1.09%106.32M
6.17%112.86M
-15.66%107.10M
-17.84%109.18M
-18.98%105.17M
-16.73%106.30M
-0.40%126.98M
-0.83%132.89M
-38.79%129.81M
-42.14%127.67M
-42.04%127.48M
-37.24%134.00M
-6.15%212.07M
-4.03%220.64M
457.23%219.97M
336.37%213.50M
--225.97M
--229.90M
--39.48M
--48.93M
Receivables
-23.56%24.28M
-26.09%24.45M
-22.99%26.05M
-9.60%30.62M
-10.80%31.76M
-2.38%33.08M
2.31%33.82M
1.78%33.87M
4.83%35.61M
19.38%33.89M
57.32%33.06M
64.01%33.27M
48.91%33.97M
24.45%28.39M
-27.37%21.02M
-43.81%20.29M
-39.82%22.81M
-3.24%22.81M
--28.93M
--36.11M
--37.90M
--23.57M
-Accounts and notes receivable
--21.67M
--22.00M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
--18.19M
--25.61M
--31.96M
----
-Other receivables
-96.02%1.18M
-97.33%821.00K
-16.09%24.15M
-1.69%28.70M
-7.39%29.58M
0.99%30.77M
-2.46%28.77M
-1.44%29.19M
-4.22%31.94M
12.77%30.46M
53.54%29.50M
60.26%29.62M
58.96%33.35M
30.56%27.02M
7016.30%19.21M
43907.14%18.48M
--20.98M
24.54%20.69M
--270.00K
--42.00K
----
--16.62M
Prepaid expenses
-6.69%5.79M
14.34%5.16M
12.68%5.46M
6.42%6.53M
7.28%6.21M
-14.70%4.51M
16.17%4.84M
50.96%6.14M
15.84%5.79M
2.78%5.29M
55.81%4.17M
94.36%4.07M
44.53%5.00M
1.76%5.15M
-58.46%2.67M
-33.71%2.09M
34.68%3.46M
108.28%5.06M
--6.44M
--3.16M
--2.57M
--2.43M
Other current assets
-71.17%111.00K
-30.89%226.00K
65.82%718.00K
59.07%1.10M
-69.95%385.00K
-88.37%327.00K
-85.80%433.00K
-84.72%689.00K
-80.68%1.28M
-66.69%2.81M
212.18%3.05M
357.20%4.51M
458.16%6.63M
1944.31%8.44M
134.86%977.00K
104.14%986.00K
-80.57%1.19M
-85.53%413.00K
--416.00K
--483.00K
--6.11M
--2.85M
Total current assets
-7.97%133.86M
-8.38%134.77M
-3.97%138.54M
2.79%151.10M
-14.27%145.45M
-15.89%147.10M
-15.18%144.27M
-13.28%147.00M
-1.98%169.65M
-0.62%174.88M
-28.15%170.09M
-30.53%169.52M
-30.05%173.07M
-27.22%175.98M
-9.56%236.74M
-9.51%244.00M
187.52%247.42M
210.84%241.78M
--261.76M
--269.65M
--86.05M
--77.78M
Non-current assets
Net Fixed Assets
-20.80%18.73M
-18.83%20.96M
-20.23%22.40M
-18.08%23.76M
-10.32%23.64M
-4.08%25.82M
-0.57%28.08M
-5.03%29.00M
-16.93%26.37M
-18.66%26.92M
102.72%28.24M
266.57%30.54M
346.10%31.74M
525.71%33.09M
166.76%13.93M
58.56%8.33M
25.11%7.12M
-14.71%5.29M
--5.22M
--5.25M
--5.69M
--6.20M
-Fixed Assets
-2.44%39.39M
-1.84%41.27M
-5.97%41.66M
-4.64%42.01M
-5.87%40.38M
-1.85%42.04M
3.52%44.31M
-4.74%44.05M
-8.79%42.90M
-12.49%42.83M
51.53%42.80M
102.41%46.24M
123.92%47.03M
164.34%48.95M
59.73%28.25M
30.69%22.84M
22.73%21.00M
8.61%18.52M
--17.68M
--17.48M
--17.11M
--17.05M
-Accumulated depreciation
23.50%20.66M
25.22%20.31M
18.69%19.27M
21.28%18.25M
1.23%16.73M
1.92%16.22M
11.47%16.23M
-4.16%15.05M
8.12%16.53M
0.38%15.91M
1.72%14.56M
8.19%15.70M
10.09%15.29M
19.85%15.85M
14.88%14.32M
18.71%14.51M
21.54%13.89M
21.94%13.23M
--12.46M
--12.23M
--11.43M
--10.85M
Goodwill and other intangible assets
-10.92%123.86M
-10.17%128.65M
-12.94%132.33M
-10.67%135.59M
-10.59%139.05M
-9.39%143.22M
24.74%152.00M
21.93%151.79M
23.48%155.52M
27.10%158.07M
111.28%121.85M
122.99%124.49M
118.10%125.95M
85.39%124.36M
17.36%57.67M
14.36%55.83M
23.81%57.75M
47.63%67.08M
--49.14M
--48.82M
--46.65M
--45.44M
Other non-current assets
6.09%5.98M
-8.48%6.24M
-5.14%5.89M
2.14%5.78M
-5.07%5.63M
5.58%6.81M
-74.70%6.21M
-72.96%5.66M
-71.56%5.94M
-65.25%6.45M
-4.23%24.52M
-14.58%20.93M
28.14%20.87M
-10.24%18.57M
77.70%25.61M
134.32%24.50M
117.47%16.28M
310.84%20.69M
--14.41M
--10.46M
--7.49M
--5.04M
Total non-current assets
-11.74%148.57M
-11.38%155.85M
-13.78%160.61M
-11.43%165.13M
-10.38%168.33M
-8.14%175.85M
6.68%186.28M
5.96%186.45M
5.19%187.82M
8.75%191.44M
79.63%174.61M
98.47%175.95M
120.04%178.56M
89.16%176.03M
41.35%97.21M
37.39%88.66M
35.65%81.15M
64.20%93.06M
--68.77M
--64.53M
--59.82M
--56.68M
Total assets
-9.99%282.43M
-10.01%290.62M
-9.50%299.15M
-5.16%316.23M
-12.22%313.77M
-11.84%322.95M
-4.10%330.55M
-3.48%333.45M
1.66%357.47M
4.07%366.32M
3.22%344.70M
3.85%345.47M
7.02%351.63M
5.13%352.01M
1.03%333.94M
-0.45%332.66M
125.24%328.57M
149.03%334.84M
--330.54M
--334.18M
--145.87M
--134.46M
Liabilities
Current liabilities
-Other payables
-41.55%11.01M
--5.63M
--193.00K
-72.29%120.00K
1536.32%18.83M
----
----
-93.36%433.00K
-75.72%1.15M
-70.51%1.09M
-35.91%2.30M
-21.16%6.52M
-48.68%4.74M
-43.54%3.68M
-57.61%3.59M
-59.37%8.27M
--9.24M
--6.52M
--8.47M
--20.34M
--0.00
--0.00
Accrued expenses
-49.06%17.03M
-28.14%30.92M
-4.72%24.99M
21.24%32.74M
19.75%33.44M
14.74%43.03M
11.80%26.23M
16.16%27.00M
33.79%27.92M
74.64%37.50M
35.09%23.46M
16.39%23.25M
24.46%20.87M
37.66%21.47M
63.89%17.37M
36.33%19.97M
-48.58%16.77M
-46.37%15.60M
--10.60M
--14.65M
--32.61M
--29.09M
Short-term debt and lease liabilities
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
Other current liabilities
-41.55%11.01M
--5.63M
--193.00K
-72.29%120.00K
1536.32%18.83M
----
----
-93.36%433.00K
-75.72%1.15M
-70.51%1.09M
-35.91%2.30M
-21.16%6.52M
-48.68%4.74M
-43.54%3.68M
-57.61%3.59M
-59.37%8.27M
--9.24M
--6.52M
--8.47M
--20.34M
--0.00
--0.00
Total current liabilities
9.08%44.05M
-12.63%43.18M
2.21%35.45M
16.75%41.44M
7.81%40.38M
7.37%49.42M
0.27%34.69M
-6.97%35.49M
5.22%37.46M
34.77%46.02M
26.47%34.59M
9.74%38.15M
2.40%35.60M
14.17%34.15M
-1.95%27.35M
-20.37%34.76M
-8.42%34.77M
-11.52%29.91M
--27.90M
--43.66M
--37.96M
--33.81M
Non-current liabilities
Long-term debt and lease liabilities
-44.75%3.22M
-38.88%4.07M
-35.11%4.88M
-26.34%5.79M
5.35%5.83M
16.85%6.66M
14.79%7.51M
-14.42%7.87M
-47.68%5.53M
-51.12%5.70M
--6.54M
--9.19M
--10.57M
--11.66M
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Long-term debt
----
----
----
----
----
----
----
----
----
----
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
-Long-term lease liabilities
-44.75%3.22M
-38.88%4.07M
-35.11%4.88M
-26.34%5.79M
5.35%5.83M
16.85%6.66M
14.79%7.51M
-14.42%7.87M
-47.68%5.53M
-51.12%5.70M
--6.54M
--9.19M
--10.57M
--11.66M
----
----
----
----
----
----
----
----
Other non-current liabilities
-34.42%15.05M
-28.82%15.50M
-15.51%19.11M
-8.02%23.18M
-8.43%22.95M
-13.04%21.78M
1604.37%22.62M
773.89%25.20M
570.08%25.06M
544.74%25.05M
-57.06%1.33M
25.07%2.88M
67.34%3.74M
165.37%3.88M
84.81%3.09M
-48.70%2.31M
55.75%2.23M
-8.84%1.46M
--1.67M
--4.50M
--1.44M
--1.61M
Total non-current liabilities
-35.01%19.05M
-32.09%19.57M
-19.26%24.77M
-14.21%29.51M
-7.24%29.31M
-9.78%28.82M
289.77%30.68M
184.86%34.39M
120.72%31.59M
105.50%31.95M
154.76%7.87M
423.59%12.07M
92.06%14.31M
961.82%15.54M
-27.31%3.09M
-48.70%2.31M
73.53%7.45M
-68.01%1.46M
--4.25M
--4.50M
--4.29M
--4.58M
Total liabilities
-9.46%63.10M
-19.80%62.75M
-7.86%60.23M
1.51%70.94M
0.93%69.69M
0.35%78.24M
53.94%65.37M
39.14%69.88M
38.34%69.05M
56.89%77.97M
39.49%42.46M
35.49%50.22M
18.23%49.91M
58.38%49.70M
-5.30%30.44M
-23.02%37.07M
-0.09%42.22M
-18.25%31.38M
--32.15M
--48.15M
--42.26M
--38.38M
Shareholders' equity
Common equity
3.39%342.96M
3.92%340.81M
4.45%338.50M
5.00%335.69M
5.13%331.72M
5.47%327.96M
5.87%324.09M
5.67%319.69M
6.00%315.54M
7.10%310.96M
7.33%306.13M
7.75%302.54M
7.61%297.68M
8.12%290.35M
8.00%285.21M
6.78%280.77M
275.33%276.63M
274.07%268.54M
--264.08M
--262.94M
--73.70M
--71.79M
Retained earnings
-106.52%-70.64M
-91.43%-59.96M
-419.19%-46.27M
-538.90%-37.15M
-967.54%-34.20M
-1087.86%-31.32M
-151.73%-8.91M
-143.31%-5.81M
-122.59%-3.20M
-115.74%-2.64M
-6.67%17.23M
-9.46%13.43M
52.10%14.19M
-51.49%16.76M
-45.58%18.46M
-34.63%14.83M
-68.62%9.33M
45.11%34.54M
--33.92M
--22.68M
--29.72M
--23.80M
Capital reserves
3.39%342.94M
3.92%340.80M
4.45%338.49M
5.00%335.67M
5.13%331.71M
5.47%327.95M
5.87%324.08M
5.67%319.68M
6.00%315.53M
7.10%310.94M
7.33%306.11M
7.75%302.53M
7.61%297.66M
8.12%290.34M
8.00%285.20M
6.78%280.76M
275.37%276.62M
274.11%268.52M
--264.07M
--262.93M
--73.69M
--71.78M
Less: Treasury stock
3.68%54.79M
6.82%54.79M
11.14%54.79M
12.36%54.79M
130.47%52.85M
155.27%51.29M
145.36%49.30M
142.67%48.76M
128.20%22.93M
332.87%20.09M
--20.09M
--20.09M
--10.05M
--4.64M
----
----
----
----
----
----
----
----
Gains losses not affecting retained earnings
407.00%1.80M
385.76%1.81M
314.10%1.49M
199.61%1.55M
40.45%-586.00K
-609.68%-632.00K
32.00%-695.00K
-147.06%-1.55M
-946.81%-984.00K
182.12%124.00K
-508.33%-1.02M
-6888.89%-629.00K
-124.29%-94.00K
-138.42%-151.00K
-143.19%-168.00K
-102.28%-9.00K
109.19%387.00K
-18.30%393.00K
--389.00K
--394.00K
--185.00K
--481.00K
Total equity
-10.14%219.33M
-6.89%227.87M
-9.90%238.93M
-6.93%245.29M
-15.37%244.08M
-15.13%244.72M
-12.26%265.18M
-10.73%263.56M
-4.41%288.42M
-4.62%288.35M
-0.42%302.24M
-0.12%295.25M
5.37%301.72M
-0.38%302.31M
1.71%303.50M
3.34%295.59M
176.35%286.35M
215.85%303.47M
--298.39M
--286.02M
--103.62M
--96.08M
Currency unit
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
--USD
Audit opinions
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----

FAQs

Which balance sheet metrics matter most when analyzing MYPS 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 PLAYSTUDIOS Inc Have?

In its most recent quarterly, PLAYSTUDIOS Inc had 103.68M in cash and cash equivalents.

How Much Are PLAYSTUDIOS Inc's Total Liabilities?

PLAYSTUDIOS Inc reported 62.75M in total liabilities as of the latest reported quarter, including 43.18M in current liabilities and 19.57M in non-current liabilities.

What Are PLAYSTUDIOS Inc's Total Assets?

As of the latest reported quarter, PLAYSTUDIOS Inc's total assets were 290.62M, consisting of 134.77M in current assets and 155.85M in non-current assets.

How Much Shareholders' Equity Does PLAYSTUDIOS Inc Have?

PLAYSTUDIOS Inc reported 227.87M in total shareholders' equity as of the latest reported quarter.
tradingkey.logo
Risk Warning: Our Website and Mobile App provides only general information on certain investment products. Finsights does not provide, and the provision of such information must not be construed as Finsights providing, financial advice or recommendation for any investment product.
Investment products are subject to significant investment risks, including the possible loss of the principal amount invested and may not be suitable for everyone. Past performance of investment products is not indicative of their future performance.
Finsights may allow third party advertisers or affiliates to place or deliver advertisements on our Website or Mobile App or any part thereof and may be compensated by them based on your interaction with the advertisements.
© Copyright: FINSIGHTS MEDIA PTE. LTD. All Rights Reserved.