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UZDArray Digital Infrastructure, Inc. 6.250% Senior Notes due 2069
$18.91$1.6B
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HomeStocksUZDQuarterly Balance Sheet

Array Digital Infrastructure, Inc. 6.250% Senior Notes due 2069 (UZD) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Array Digital Infrastructure, Inc. 6.250% Senior Notes due 2069 (UZD) quarterly balance sheet — complete assets, liabilities & equity history

UZD Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23
Total Assets3.96B4.94B4.92B10.38B10.37B10.45B10.52B10.64B10.7B10.75B10.75B10.89B
Asset Growth %-61.75%-52.7%-53.23%-2.46%-3.17%-2.8%-2.17%-2.3%-2.66%-3.32%-2.78%-1.04%
PP&E (Net)860.11M861.99M864.58M3.23B3.32B3.43B3.42B3.45B3.45B3.49B3.51B3.55B
PP&E / Total Assets %21.69%17.44%17.58%31.17%32.02%32.81%32.48%32.39%32.23%32.47%32.63%32.62%
Total Current Assets274.06M144.79M352.24M1.51B1.37B1.34B1.43B1.37B1.4B1.42B1.41B1.52B
Cash & Equivalents253.64M113.4M325.63M386M182M144M272M195M185M150M153M186M
Receivables1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K1000K
Inventory000126M178M179M161M143M175M199M175M210M
Other Current Assets3.81M6.51M3.95M21M25M21M21M26M85M106M125M132M
Long-Term Investments435.06M412.61M452.17M444M479M454M478M461M482M461M477M457M
Goodwill000000000000
Intangible Assets1.64B1.64B1.65B4.58B4.58B4.58B4.58B4.71B4.71B4.69B4.69B4.69B
Other Assets753.41M1.62B1.6B606M613M643M619M643M666M690M666M670M
Total Liabilities2.1B2.37B2.38B5.75B5.75B5.84B5.9B5.93B6.01B6.1B6.12B6.29B
Total Debt1.2B1.71B1.2B3.81B3.82B3.82B3.85B3.86B4.01B4.03B3.89B4.13B
Net Debt948.23M1.6B877.33M3.42B3.64B3.68B3.58B3.67B3.83B3.88B3.74B3.94B
Long-Term Debt668.5M1.18B671.9M2.82B2.83B2.84B2.88B2.89B3.03B3.04B2.9B3.1B
Short-Term Borrowings6.09M19.36M2.03M28M26M22M20M20M20M20M18M54M
Capital Lease Obligations527.28M509.88M529.02M962M964M963M952M956M961M969M969M970M
Total Current Liabilities265.6M199.99M539.03M808M807M884M909M886M837M901M1.03B1.01B
Accounts Payable26.12M38.4M58.46M204M198M232M266M261M229M248M412M249M
Accrued Expenses04.32M00000032M133M61M54M
Deferred Revenue45.21M0122.09M225M231M238M225M236M0000
Other Current Liabilities34.51M121.03M40.31M163M146M211M190M187M422M365M405M517M
Deferred Taxes320.53M651.59M320.69M719M720M728M719M765M0755M00
Other Liabilities333.36M-173.5M336.13M576M570M570M579M573M1.32B565M1.35B1.34B
Total Equity1.87B2.57B2.54B4.63B4.62B4.61B4.61B4.71B4.69B4.65B4.63B4.6B
Equity Growth %-59.59%-44.13%-45.01%-1.62%-1.58%-0.99%-0.37%2.28%2.05%1.57%0.3%-0.76%
Shareholders Equity1.86B2.57B2.53B4.6B4.58B4.58B4.58B4.67B4.66B4.63B4.6B4.57B
Minority Interest6.16M6.93M7.33M30M30M31M32M31M31M28M28M28M
Common Stock88.07M88.07M88.07M88M88M88M88M88M88M88M88M88M
Additional Paid-in Capital1.8B1.8B1.8B1.81B1.8B1.78B1.76B1.75B1.74B1.73B1.72B1.71B
Retained Earnings59.26M769.79M732.33M2.8B2.82B2.82B2.81B2.89B2.91B2.89B2.88B2.85B
Accumulated OCI000000000000
Return on Assets (ROA)4%0.82%2.63%0.3%0.17%0.05%-0.75%0.16%0.17%0.13%0.21%0.05%
Return on Equity (ROE)8.03%1.58%5.6%0.67%0.39%0.11%-1.7%0.36%0.39%0.3%0.5%0.11%
Debt / Equity0.64x0.66x0.47x0.82x0.83x0.83x0.84x0.82x0.86x0.87x0.84x0.90x
Debt / Assets30.31%34.58%24.46%36.71%36.85%36.58%36.65%36.31%37.46%37.49%36.19%37.92%
Net Debt / EBITDA53.70x72.13x156.16x17.29x17.83x23.43x44.78x18.25x17.71x20.64x17.22x20.32x
Book Value per Share21.5629.7629.2152.6152.4452.3653.6553.4853.2852.8953.8553.5