VCP ScannerFree US Stock Screener & Financial AnalysisFree US Stock Screener
ScreenerThemes
DCF ValuationCalculate intrinsic value of US stocks
Market ValuationBuffett indicator, CAPE & macro gauges
Total ReturnSee dividends + price return history
DCA CalculatorSimulate recurring buys & compounding
Earnings
FAANG & Tech
AAPL vs MSFTNVDA vs AMDGOOGL vs META
Cloud & Cyber
CRM vs NOWCRWD vs PANWSNOW vs DDOG
Consumer & Auto
TSLA vs FAMZN vs WMTNFLX vs DIS
Finance & Crypto
JPM vs BACV vs MACOIN vs MSTR
Pharma & Energy
LLY vs NVOJNJ vs PFEXOM vs CVX
Compare Any Stocks...
WatchlistInsider
ScreenerThemes
Earnings
WatchlistInsider
SKLZ
← Back to Screener
VCP ScannerFree US Stock Screener & Financial Analysis

Find stocks. Verify deeply. Act with conviction.

Data updated daily

Product

  • Screener
  • Themes
  • Valuation
  • Total Return
  • DCA Calculator
  • News
  • Earnings

Resources

  • Market Valuation
  • Compare
  • Insider Activity
  • Methodology
  • How It Works
  • Glossary
  • Learn

Get Ideas

Get weekly stock ideas — free

© 2026 VCP Scanner
AboutPrivacyTerms
Not financial advice. Do your own research.
ScreenerNewsCompareWatchlist
SKLZSkillz Inc.
$8.84$138M
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
Analyst TargetsPrice HistoryTechnical Analysis
Financial Statements
Income StatementBalance SheetCash FlowRatios & Margins
Performance
P/E HistoryRevenue HistoryEarnings HistoryDividend HistoryTotal Return
Ownership
Holders
HomeStocksSKLZQuarterly Balance Sheet

Skillz Inc. (SKLZ) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Skillz Inc. (SKLZ) quarterly balance sheet — complete assets, liabilities & equity history

SKLZ Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Total Current Assets209.1M216.48M234.12M255.19M287.46M303.15M321.82M334.77M311.61M324.69M350.5M367.79M521.57M501.68M492.45M502.51M519.32M589.86M570.34M708.57M
Cash & Short-Term Investments185.4M194.51M211.8M228.66M254.34M271.92M301.44M316.42M290.6M302.03M334.96M352.1M504.11M489.78M464.98M470.47M484.12M560.39M540.31M692.78M
Cash Only185.4M194.51M211.8M228.66M254.34M271.92M301.44M316.42M290.6M302.03M330.16M324.78M415.33M362.52M239.85M169.99M114.56M241.33M540.31M692.78M
Short-Term Investments00000000004.8M27.32M88.78M127.27M225.13M300.48M369.57M319.06M00
Accounts Receivable16.06M14.41M14.26M8.98M8.13M4.89M5.27M4.22M5.1M5.94M9.27M9.66M9.54M7.18M9M10.63M13.23M12.77M12.72M1.19M
Days Sales Outstanding47.1248.2539.0628.4326.1326.317.7816.7619.922.4923.921.7516.9517.4415.2515.1312.7410.776.2753.76
Inventory00000000000000000000
Days Inventory Outstanding--------------------
Other Current Assets2.54M1.13M8.05M10M18.18M19.39M10.45M10.53M11.11M11.36M792K1.14M1.38M1.49M1.2M1.35M1.09M1.5M3.69M8.68M
Total Non-Current Assets78.25M76.98M74.11M73.11M72.42M71.11M68.37M68.09M70.74M71.14M77.62M79.59M90.59M119.61M279.97M356.39M413.21M431.26M240.79M11.89M
Property, Plant & Equipment21.9M21.86M20.43M19.37M17.78M16.59M14.88M14.62M14.82M14.55M13.81M13.6M14.3M3.46M20.61M20.41M22.61M24.5M10.85M5.7M
Fixed Asset Turnover1.33x1.29x1.38x1.47x1.30x1.13x1.67x1.72x1.72x2.19x2.66x2.88x5.00x3.55x2.89x3.34x3.90x6.16x12.33x16.13x
Goodwill0000000000000086.44M86.44M86.44M85.87M87.23M0
Intangible Assets0000000000000020.29M71M75.07M79.14M83.24M0
Long-Term Investments53.77M52.77M52.77M52.77M52.77M52.77M52.77M52.77M53.22M53.89M57.71M61.75M72.44M112.38M148.91M174.79M225.37M238.28M55.63M2.92M
Other Non-Current Assets2.58M2.35M915K979K1.87M1.75M723K707K2.7M2.69M6.1M4.25M3.85M3.77M3.73M3.76M3.73M3.48M3.84M3.27M
Total Assets287.35M293.45M308.23M328.3M359.88M374.27M390.19M402.86M382.35M395.83M428.12M447.39M612.16M621.29M772.41M858.9M932.54M1.02B811.13M720.46M
Asset Turnover0.10x0.09x0.09x0.08x0.06x0.05x0.06x0.06x0.06x0.08x0.08x0.08x0.07x0.06x0.07x0.08x0.09x0.12x0.13x0.12x
Asset Growth %-20.15%-21.59%-21%-18.51%-5.88%-5.45%-8.86%-9.95%-37.54%-36.29%-44.57%-47.91%-34.36%-39.16%-4.77%19.22%25.78%261.56%833.61%767.27%
Total Current Liabilities184.33M180.71M53.67M60.95M67.72M65.91M55.53M52.44M61.48M49.86M64.8M64.32M71.28M49.49M53.22M58.38M72.92M99.82M80.2M124.93M
Accounts Payable8.61M9.71M7.99M8.63M9.39M9.8M8.67M6.35M11.37M1.71M2.4M4.2M4.68M1.7M4.9M1.7M13.3M19.75M10.05M11.07M
Days Payables Outstanding229.22232.03227.92254.59291.17262.64204.76240.95172.4954.6682.08110.6662.6462.1839.9175.81161.7162.76127.03213.54
Short-Term Debt128.53M127.59M180K190K0000000000000000
Deferred Revenue (Current)00000000000000000000
Other Current Liabilities41.49M13.18M45.32M51.94M10.83M10.22M9.54M9.77M9.9M8.66M21.65M14.26M13.84M13.97M9.03M12.66M14.3M24.39M18.82M83.12M
Current Ratio1.13x1.20x4.36x4.19x4.24x4.60x5.80x6.38x5.07x6.51x5.41x5.72x7.32x10.14x9.25x8.61x7.12x5.91x7.11x5.67x
Quick Ratio1.13x1.20x4.36x4.19x4.24x4.60x5.80x6.38x5.07x6.51x5.41x5.72x7.32x10.14x9.25x8.61x7.12x5.91x7.11x5.67x
Cash Conversion Cycle--------------------
Total Non-Current Liabilities807K924K128.13M126.93M135.35M135.32M135.19M135.19M135.31M135.48M135.59M135.6M286.5M293.4M286.89M295.64M307.98M312.15M26.59M60.71M
Long-Term Debt00127.08M126.59M126.12M125.65M125.2M124.77M124.34M123.94M123.53M123.15M273.62M272.78M271.97M280.9M279.71M278.89M00
Capital Lease Obligations547K665K743K34K8.91M9.34M9.56M9.91M10.25M10.57M10.87M11.17M11.51M11.94M12.35M12.74M13.2M13.57M00
Deferred Tax Liabilities00000000000000000000
Other Non-Current Liabilities260K259K299K307K327K333K422K512K718K971K1.18M1.28M1.37M8.68M2.58M1.99M15.07M19.69M26.59M60.71M
Total Liabilities185.13M181.63M181.05M187.88M203.07M201.23M190.72M187.63M196.79M185.34M200.38M199.92M357.78M342.89M340.11M354.02M380.9M411.96M106.8M185.65M
Total Debt129.08M128.72M128.3M126.82M136.91M137M136.71M136.7M136.63M136.7M136.77M137.53M288.41M288.38M288.65M297.12M296.96M297.01M3.96M0
Net Debt-56.33M-65.79M-83.5M-101.84M-117.44M-134.92M-164.73M-179.72M-153.97M-165.32M-193.39M-187.25M-126.92M-74.14M48.8M127.13M182.4M55.68M-536.35M-692.78M
Debt / Equity1.26x1.15x1.01x0.90x0.87x0.79x0.69x0.64x0.74x0.65x0.60x0.56x1.13x1.04x0.67x0.59x0.54x0.49x0.01x-
Debt / EBITDA-------5.26x------------
Net Debt / EBITDA--------6.91x------------
Interest Coverage-4.23x-4.64x-10.16x-5.77x-12.91x-94.08x-4.59x----7.82x-17.67x-9.18x-33.17x-12.10x-7.26x-17.36x-90.29x367.07x-3180.20x
Total Equity102.21M111.82M127.18M140.42M156.81M173.04M199.46M215.23M185.56M210.49M227.73M247.47M254.39M278.4M432.3M504.89M551.64M609.16M704.34M534.81M
Equity Growth %-34.82%-35.38%-36.24%-34.76%-15.49%-17.79%-12.41%-13.03%-27.06%-24.39%-47.32%-50.98%-53.89%-54.3%-38.62%-5.6%-6.33%159.2%1423.61%897.9%
Book Value per Share6.467.178.319.069.639.8211.3811.9010.0510.5010.6911.7912.1813.3820.8924.7427.4730.4635.5727.71
Total Shareholders' Equity102.21M111.82M127.18M140.42M156.81M173.04M199.46M215.23M185.56M210.49M227.73M247.47M254.39M278.4M432.3M504.89M551.64M609.16M704.34M534.81M
Common Stock1K1K1K1K1K1K1K1K1K1K41K41K41K1K41K41K40K40K40K39K
Retained Earnings-1.1B-1.09B-1.07B-1.06B-1.04B-1.02B-996.26M-975.15M-1B-974.47M-958.96M-930.69M-908.7M-873.11M-706.96M-628.42M-567.8M-434.23M-320.72M-371.5M
Treasury Stock-41.61M-41.61M-40.07M-40.07M-37.08M-32.35M-23.91M-23.77M-19.96M-13M0000000000
Accumulated OCI-1.3M-371K000000-1K-7K-37K-172K-566K-1.56M-2.73M-2.87M-2.29M-248K00
Minority Interest00000000000000000000