UNDER ARMOUR INC-CLASS A (UAA)

US9043111072 - Common Stock

6.7  -0.08 (-1.18%)

After market: 6.7191 +0.02 (+0.29%)

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2024
(2024-3-31)
2023
(2023-3-31)
2022
(2021-12-31)
2021
(2020-12-31)
2020
(2019-12-31)
ASSETS
Current Assets
Cash Equivalents
858.69M711.91M1.67B1.52B788.10M
Receivables
757.34M758.56M569.01M527.30M708.70M
Inventories
958.50M1.19B811.41M896.00M892.30M
Other Current Assets
289.16M293.33M286.42M282.30M313.20M
Total Current Assets
2.86B2.95B3.34B3.22B2.70B
 
Non-Current Assets
PPE Net
1.10B1.13B1.06B1.20B1.38B
Investments And Advances
N/AN/A0.000.005.10M
Goodwill
478.30M481.99M495.21M502.20M550.20M
Intangibles
7.00M8.94M11.01M13.30M36.30M
Other Non-Current Assets
312.55M254.00M93.28M96.80M165.60M
Total Non-Current Assets
1.90B1.88B1.66B1.81B2.14B
 
TOTAL ASSETS
4.76B4.83B4.99B5.03B4.84B
 
LIABILITIES
Current Liabilities
Short Term Debt
N/A0.000.000.000.00
Current Portion Of LT Debt.
80.92MN/AN/AN/A0.00
Accrued Expenses
427.18M507.52M598.83M541.40M500.60M
Accounts Payable
483.73M648.49M613.31M576.00M618.20M
Other Current Liabilities
173.63M203.28M238.04M295.90M303.20M
Total Current Liabilities
1.17B1.36B1.45B1.41B1.42B
 
Non-Current Liabilities
Long Term Debt
594.87M674.48M662.53M1.00B592.70M
Other Non-Current Liabilities
847.11M827.64M789.70M937.80M678.70M
Total Non-Current Liabilities
1.44B1.50B1.45B1.94B1.27B
 
TOTAL LIABILITIES
2.61B2.86B2.90B3.35B2.69B
 
SHAREHOLDERS' EQUITY
Retained Earnings
N/A929.56M1.03B673.90M1.23B
Additional Paid In Capital
N/A1.14B1.11B1.06B973.70M
Common Shares
N/A147.00K158.00K200.00K100.00K
Other Shareholders' Equity
2.15B1.97B-47.61M-59.20M-50.80M
Shares Outstanding
223.24M223.14M476.26M455.00M451.80M
Tangible Book Value per Share
7.476.613.322.553.46
Total Shareholders' Equity
2.15B1.97B2.09B1.68B2.15B
 
TOTAL LIABILITIES AND EQUITY
4.76B4.83B4.99B5.03B4.84B
 
Statistics
Debt/Equity
0.280.340.320.600.28
Current Ratio
2.462.172.302.281.90
Return On Assets (ROA)
4.87%7.76%7.21%-10.92%1.90%
Return On Equity (ROE)
10.78%19.05%17.24%-32.77%4.28%
Return On Invested Capital (ROIC)
5.66%6.78%13.29%N/A6.13%
Return On Invested Capital Ex Cash (ROICexc)
7.43%8.53%25.14%N/A7.96%
Return On Invested Capital Ex Cash + Goodwill (ROICexcg)
9.04%10.38%34.45%N/A10.24%

All data in USD

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