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BAND — Bandwidth Inc. Class A Common Stock

Nasdaq

Bandwidth Inc. Class A Common Stock

Back to Screener
$63.74
+1.30(+2.08%)
O
63.50
H
67.14
L
62.02
V
894.86K
⏱️ End-of-day dataAs of Oct 2, 2026

BAND — Financial Statements

Historical 2-Year Statements
Financial Metric / Line ItemQ1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024
Fiscal Date2026-03-312025-12-312025-09-302025-06-302025-03-312024-12-31
Periodquarterlyquarterlyquarterlyquarterlyquarterlyquarterly
Year2,026.002,025.002,025.002,025.002,025.002,024.00
Cash And Cash Equivalents$47.28M$10.28M$73.37M$60.14M$35.93M$81.81M
Other Short Term Investments$2.99M$8.48M$7.00M$8.00M$5.76M$1.98M
Accounts Receivable$40.04M$34.55M$39.86M$41.99M$40.48M$41.83M
Other Receivables$61.77M$57.40M$53.96M$49.23M$49.16M$46.80M
Other Current Assets$15.88M$11.56M$14.65M$14.71M$18.72M$13.84M
Total Current Assets$17.19M$21.91M$19.30M$17.64M$15.14M$18.78M
Properties$24.91M$25.13M$24.36M$24.26M$23.85M$24.35M
Land And Improvements$28.70M$28.70M$28.70M$28.70M$28.70M$28.70M
Machinery Furniture Equipment$54.25M$53.39M$60.51M$59.05M$57.03M$55.26M
Construction In Progress$46.28M$44.20M$43.56M$40.90M$38.30M$35.50M
Leases$77.75M$77.70M$80.06M$79.56M$77.31M$76.05M
Accumulated Depreciation$-13.18M$-12.81M$-12.77M$-11.87M$-10.98M$-10.86M
Goodwill$82.62M$85.23M$85.76M$86.21M$80.39M$77.98M
Intangible Assets$12.88M$13.87M$14.35M$14.97M$14.54M$14.54M
Other Non Current Assets$10.51M$10.85M$11.11M$8.05M$8.29M$8.33M
Total Non Current Assets$81.23M$83.36M$84.03M$84.61M$81.30M$80.14M
Total Assets$98.42M$105.26M$103.33M$102.25M$96.44M$98.92M
Accounts Payable$31.69M$42.60M$34.38M$21.29M$16.57M$28.36M
Accrued Expenses$70.31M$62.01M$57.34M$70.07M$59.79M$64.23M
Short Term Debt$54.63M$11.57M$11.27M$11.23M$10.85M$3.11M
Deferred Revenue$11.81M$13.06M$11.87M$12.23M$10.73M$10.73M
Tax Payable$5.43M$4.42M$8.20M$7.02M$7.86M$7.90M
Pensions$8.64M$20.41M$16.20M$13.04M$9.95M$25.99M
Total Current Liabilities$18.25M$15.41M$13.93M$13.49M$11.57M$14.03M
Long Term Debt$36.86M$46.86M$46.84M$46.89M$46.83M$50.05M
Deferred Liabilities$21.84M$24.48M$26.51M$26.84M$26.36M$27.30M
Other Non Current Liabilities$1.63M555,000.00610,000.00584,000.00575,000.00576,000.00
Total Non Current Liabilities$39.60M$49.86M$50.13M$50.31M$50.32M$53.63M
Total Liabilities$57.85M$65.27M$64.06M$63.79M$61.90M$67.66M
Common Stock32,000.0031,000.0031,000.0030,000.0030,000.0029,000.00
Retained Earnings$-80.21M$-84.33M$-81.33M$-80.08M$-75.15M$-71.41M
Other Shareholders Equity$-12.41M$-1.57M$-1.31M$-1.76M$-36.55M$-52.01M
Total Shareholders Equity$40.57M$40.00M$39.27M$38.45M$34.54M$31.25M
Additional Paid In Capital$50.33M$48.58M$47.54M$46.64M$45.71M$43.59M
Treasury Stock$5.01MN/AN/AN/AN/AN/A