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
WLYB
← 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
WLYBJohn Wiley & Sons, Inc.
$47.01$2.5B
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
HomeStocksWLYBQuarterly Balance Sheet

John Wiley & Sons, Inc. (WLYB) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

John Wiley & Sons, Inc. (WLYB) quarterly balance sheet — complete assets, liabilities & equity history

WLYB Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ4'26Q3'26Q2'26Q1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22
Total Current Assets419.67M411.25M381.22M420.3M439.88M394.76M370.31M392.83M454.04M384M425.57M477.78M541.28M531.17M482.99M500.77M550.87M491.57M500.47M478.69M
Cash & Short-Term Investments75.62M95.11M67.4M81.85M85.88M104.51M75.54M82.55M83.35M93.2M83.22M75.14M106.71M126.45M118.42M104.5M100.4M109.44M100.9M82.98M
Cash Only75.62M95.11M67.4M81.85M85.88M104.51M75.54M82.55M83.35M93.2M83.22M75.14M106.71M126.45M118.42M104.5M100.4M109.44M100.9M82.98M
Short-Term Investments00000000000000000000
Accounts Receivable244.16M200.22M209.68M220.32M228.41M184.67M183.01M192.15M224.2M161.01M147.25M153.39M310.12M283.65M260.03M281.44M331.96M267.99M291.89M284.58M
Days Sales Outstanding44.1545.9846.952.0241.5341.840.4547.433730.7828.0647.2750.2250.948.3857.8748.9349.9249.7556.15
Inventory19.27M19.3M21.39M21.95M22.88M25.3M27.1M25.85M26.22M28.38M30.13M30.29M30.73M33.17M34.45M33.42M36.59M39.73M39.73M40.39M
Days Inventory Outstanding12.5715.4516.9518.8719.3323.1322.7621.9317.9817.1217.8617.8716.3317.8718.3318.518.1621.1421.0922.99
Other Current Assets80.61M96.62M82.75M96.18M102.72M80.28M84.66M92.29M120.38M101.52M164.97M218.95M93.71M87.9M70.1M81.41M81.92M73.84M67.38M70.16M
Total Non-Current Assets2.17B2.15B2.09B2.1B2.25B2.21B2.24B2.26B2.27B2.32B2.35B2.45B2.57B2.62B2.65B2.73B2.81B2.89B2.85B2.88B
Property, Plant & Equipment193.39M202.15M208.95M216.06M228.25M231.45M242.9M257.53M261.51M279.64M301.51M305.95M338.35M342.97M343.26M361.65M383.29M390.14M393.48M395.64M
Fixed Asset Turnover2.26x1.99x1.98x1.79x1.93x1.71x1.70x1.56x1.73x1.59x1.62x1.40x1.54x1.43x1.46x1.31x1.41x1.32x1.35x1.22x
Goodwill1.13B1.14B1.12B1.12B1.12B1.08B1.1B1.1B1.09B1.1B1.08B1.1B1.2B1.2B1.27B1.29B1.3B1.33B1.3B1.3B
Intangible Assets578.96M595.1M582M580.33M595.04M572.12M598.26M609.22M615.69M628.89M630.56M657.09M854.79M868.27M860.58M895.81M931.43M1.02B1.02B1.04B
Long-Term Investments00000002.77M-97.19M-94.86M-94.28M-109.92M-144.04M9.1M11.3M5M4.9M-146.38M-172.67M-161.21M
Other Non-Current Assets267.41M214.08M178.4M189.82M306.78M322.34M295.01M289.89M302.88M318.08M339.88M382.64M170.34M50.9M4.88M17.12M193.97M118.55M118.28M114.57M
Total Assets2.59B2.56B2.47B2.52B2.69B2.6B2.61B2.65B2.73B2.71B2.78B2.93B3.11B3.15B3.13B3.23B3.36B3.38B3.35B3.36B
Asset Turnover0.17x0.16x0.17x0.15x0.17x0.16x0.16x0.15x0.17x0.17x0.17x0.15x0.17x0.16x0.16x0.15x0.16x0.15x0.16x0.14x
Asset Growth %-3.7%-1.48%-5.45%-4.82%-1.25%-3.97%-6.12%-9.36%-12.33%-14.06%-11.17%-9.39%-7.52%-6.74%-6.5%-3.97%-2.46%-1.41%10.78%9.58%
Total Current Liabilities778.95M692.41M540.35M648.84M820.86M717.26M561.47M688.79M873.28M712.14M610.25M705.94M895.55M760.97M634.58M780.74M969.42M821.48M644.51M763.1M
Accounts Payable67.2M50.1M47.65M36.38M60.95M53.22M40.36M38.64M55.66M44.99M48.51M43.71M84.33M32.38M46.25M56.68M77.44M76.74M51.27M62.23M
Days Payables Outstanding38.2337.1232.8640.9845.7941.333.9639.7233.1627.3627.2637.4929.8220.7827.835.4536.6934.0529.8743.8
Short-Term Debt28.45M11.25M10M10M10M10M10M8.75M7.5M24.43M22.8M22.87M5M25.05M44.04M41.66M18.75M37.22M34.85M34.05M
Deferred Revenue (Current)0292.84M218.79M361.68M462.69M313.28M241.49M367.31M483.78M300.68M235.84M369.56M504.69M369.25M263.82M407.1M538.13M355.85M267.89M418.46M
Other Current Liabilities683.29M69.83M52.8M44.71M93.12M74.31M60.94M207.41M220.14M245.66M202.36M199.62M201.4M234.34M178.94M177.15M199.49M211.17M173.79M157.43M
Current Ratio0.54x0.59x0.71x0.65x0.54x0.55x0.66x0.57x0.52x0.54x0.70x0.68x0.60x0.70x0.76x0.64x0.57x0.60x0.78x0.63x
Quick Ratio0.51x0.57x0.67x0.61x0.51x0.52x0.61x0.53x0.49x0.50x0.65x0.63x0.57x0.65x0.71x0.60x0.53x0.55x0.71x0.57x
Cash Conversion Cycle18.4824.3130.9829.9115.0723.6329.2629.6421.8320.5418.6627.6536.7347.9838.9140.9330.43740.9735.34
Total Non-Current Liabilities964.63M1.12B1.19B1.14B1.12B1.2B1.29B1.25B1.11B1.25B1.3B1.28B1.17B1.36B1.42B1.37B1.25B1.44B1.59B1.52B
Long-Term Debt670.9M796.29M861.71M818.27M789.43M877.21M951.01M909.85M767.1M900.52M1.04B997.57M743.29M940.58M1.1B917.24M768.28M902.04M1.03B952.02M
Capital Lease Obligations69.54M73.61M76.28M78.2M81.48M83.6M88.4M91.59M94.39M98.22M101.82M106.65M115.54M119.8M120.56M127.06M132.54M139.59M143.64M145.34M
Deferred Tax Liabilities98.97M106.59M102.99M104.11M105.14M94.57M98.68M97.36M97.19M94.86M94.28M109.92M144.04M144.6M157.05M159.72M180.06M182.9M187.93M188.88M
Other Non-Current Liabilities125.22M142.45M145.22M141.85M125.62M141.98M154.04M133.06M139.01M153.24M65.98M68.68M147.93M138.6M39.14M162.23M150.05M190.53M230.78M235.55M
Total Liabilities1.74B1.81B1.73B1.79B1.94B1.91B1.85B1.94B1.99B1.96B1.91B1.99B2.06B2.12B2.05B2.15B2.22B2.26B2.24B2.28B
Total Debt768.89M897.39M964.63M923.98M899.2M988.78M1.07B1.03B887.28M1.02B1.06B1.02B883.5M1.09B1.14B1.09B940.14M1.08B1.21B1.13B
Net Debt693.27M802.28M897.22M842.13M813.32M884.27M991.96M945.29M803.92M929.97M979.03M945.29M776.79M958.99M1.02B981.46M839.75M969.41M1.11B1.05B
Debt / Equity0.91x1.20x1.30x1.26x1.20x1.44x1.41x1.44x1.20x1.37x1.22x1.09x0.85x1.06x1.06x1.00x0.82x0.96x1.09x1.05x
Debt / EBITDA5.17x8.51x8.39x13.71x7.87x11.15x10.22x15.52x6.95x10.53x12.29x35.10x6.61x11.33x10.30x16.89x8.47x10.86x9.43x11.84x
Net Debt / EBITDA4.66x7.61x7.80x12.49x7.12x9.97x9.49x14.27x6.30x9.57x11.33x32.51x5.81x10.01x9.24x15.27x7.56x9.76x8.64x10.97x
Interest Coverage11.74x6.08x5.97x2.86x5.64x2.39x4.38x2.80x5.73x-7.43x-0.70x-8.42x9.34x-5.72x6.25x-2.69x11.24x9.47x15.13x10.49x
Total Equity848.24M749.98M740.19M733.06M752.21M685.24M755.25M713.67M739.72M748.31M867.28M937.21M1.05B1.03B1.08B1.08B1.14B1.12B1.11B1.08B
Equity Growth %12.77%9.45%-1.99%2.72%1.69%-8.43%-12.92%-23.85%-29.22%-27.13%-19.53%-13.41%-8.51%-8.27%-2.61%0.41%4.67%5.24%8.47%10.7%
Book Value per Share16.3414.0513.7713.5813.7212.7013.7713.1213.3613.6515.7416.9618.6218.5019.1819.4220.2119.8519.6319.04
Total Shareholders' Equity848.24M749.98M740.19M733.06M752.21M685.24M755.25M713.67M739.72M748.31M867.28M937.21M1.05B1.03B1.08B1.08B1.14B1.12B1.11B1.08B
Common Stock83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M83.18M
Retained Earnings1.74B1.62B1.61B1.58B1.59B1.54B1.58B1.56B1.58B1.58B1.71B1.75B1.86B1.81B1.9B1.88B1.92B1.9B1.88B1.84B
Treasury Stock0-991.31M-956.54M-935.37M-925.09M-902.9M-894.29M-881.75M-872.78M-859.67M-855.46M-843.38M-839.93M-832.1M-827.27M-820M-813.22M-810.71M-811.35M-800.95M
Accumulated OCI-442.22M-452.92M-481.32M-478.41M-478.92M-519.4M-496.31M-523.59M-528.44M-526.76M-541.97M-517.04M-528.9M-505.54M-545.99M-523.29M-508.15M-507.44M-498.21M-494.6M
Minority Interest00000000000000000000