Huron Consulting Group  logo
Huron Consulting Group HURN
$ 115.73 -0.36%

Quarterly report 2024-Q3
added 10-29-2024

report update icon

Huron Consulting Group Balance Sheet 2011-2024 | HURN

Annual Balance Sheet Huron Consulting Group

2023 2022 2021 2020 2019 2018 2017 2016 2015 2014 2013 2012 2011

Net Debt

323 M 289 M 222 M 144 M 197 M 264 M 326 M 275 M 254 M 99.7 M 111 M 167 M 188 M

Long Term Debt

324 M 290 M 232 M 203 M 208 M 53.9 M 343 M 292 M 312 M 328 M 144 M 192 M 194 M

Long Term Debt Current

11 M 10.5 M 10.1 M 8.77 M 7.47 M 243 M - - - 28.8 M 25 M - -

Total Non Current Liabilities

427 M 401 M 342 M 312 M 314 M 90.6 M 394 M 369 M 380 M 379 M 182 M 226 M 220 M

Total Current Liabilities

303 M 246 M 205 M 193 M 205 M 418 M 139 M 136 M 131 M 176 M 173 M 117 M 170 M

Total Liabilities

- - - - 519 M 509 M 534 M 505 M 512 M 555 M 355 M 343 M 390 M

Deferred Revenue

22.5 M 21.9 M 19.2 M 34.7 M 28.4 M 28.1 M 27.9 M 24.1 M 19.1 M 12.7 M 15.2 M 15.4 M 36.7 M

Retained Earnings

415 M 353 M 277 M 214 M 238 M 196 M 180 M 351 M 314 M 255 M 176 M 109 M 72.9 M

Total Assets

1.26 B 1.2 B 1.12 B 1.06 B 1.1 B 1.05 B 1.04 B 1.15 B 1.16 B 1.16 B 886 M 788 M 787 M

Cash and Cash Equivalents

12.1 M 11.8 M 20.8 M 67.2 M 11.6 M 33.1 M 16.9 M 17 M 58.4 M 257 M 58.1 M 25.2 M 5.08 M

Book Value

1.26 B 1.2 B 1.12 B 1.06 B 585 M 541 M 503 M 648 M 652 M 601 M 530 M 445 M 397 M

Total Shareholders Equity

533 M 552 M 572 M 552 M 585 M 541 M 503 M 648 M 652 M 601 M 530 M 445 M 397 M

All numbers in USD currency

Quarterly Balance Sheet Huron Consulting Group

2024-Q3 2024-Q2 2024-Q1 2023-Q3 2023-Q2 2023-Q1 2022-Q4 2022-Q3 2022-Q2 2022-Q1 2021-Q4 2021-Q3 2021-Q2 2021-Q1 2020-Q4 2020-Q3 2020-Q2 2020-Q1 2019-Q4 2019-Q3 2019-Q2 2019-Q1 2018-Q4 2018-Q3 2018-Q2 2018-Q1 2017-Q4 2017-Q3 2017-Q2 2017-Q1 2016-Q4 2016-Q3 2016-Q2 2016-Q1 2015-Q4 2015-Q3 2015-Q2 2015-Q1 2014-Q4 2014-Q3 2014-Q2 2014-Q1 2013-Q4 2013-Q3 2013-Q2 2013-Q1 2012-Q4 2012-Q3 2012-Q2 2012-Q1 2011-Q4 2011-Q3 2011-Q2 2011-Q1

Long Term Debt

428 M 497 M 559 M 358 M 395 M 447 M 290 M 341 M - 335 M 232 M 262 M 268 M 268 M 203 M 203 M 203 M 203 M 208 M 208 M 208 M 208 M 53.9 M 53.9 M 53.9 M 53.9 M 343 M 343 M 343 M 343 M 292 M 292 M 292 M 292 M 307 M 307 M 307 M 307 M 328 M 328 M 328 M 328 M 144 M 144 M 144 M 144 M 192 M 192 M 192 M 192 M 194 M 194 M 194 M 194 M

Total Non Current Liabilities

535 M 600 M 663 M 464 M 506 M 561 M 401 M 442 M - 447 M 342 M 360 M 372 M 374 M 312 M 312 M 312 M 312 M 314 M 314 M 314 M 314 M 90.6 M 90.6 M 90.6 M 90.6 M 394 M 394 M 394 M 394 M 369 M 369 M 369 M 369 M 376 M 376 M 376 M 376 M 379 M 379 M 379 M 379 M 182 M 182 M 182 M 182 M 226 M 226 M 226 M 226 M 220 M 220 M 220 M 220 M

Total Liabilities

- - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - - -

Deferred Revenue

27.7 M 28.6 M 24.7 M 26.2 M 24.7 M 20.5 M 21.9 M 20.4 M - 21.6 M 19.2 M 17.8 M 19.2 M 18.7 M 28.2 M 31.8 M 35 M 30 M 28.4 M 28.4 M 28.4 M 28.4 M 28.1 M 28.1 M 28.1 M 28.1 M 27.9 M 27.9 M 27.9 M 27.9 M 24.1 M 24.1 M 24.1 M 24.1 M 19.1 M 19.1 M 19.1 M 19.1 M 12.5 M 12.7 M 12.7 M 12.7 M 15.2 M 15.2 M 15.2 M 15.2 M 15.4 M 15.4 M 15.4 M 15.4 M 36.7 M 36.7 M 36.7 M 36.7 M

Retained Earnings

498 M 471 M 433 M 412 M 391 M 366 M 353 M 335 M - 304 M 277 M 246 M 232 M 219 M 214 M 214 M 214 M 214 M 238 M 238 M 238 M 238 M 196 M 196 M 196 M 196 M 180 M 180 M 180 M 180 M 351 M 351 M 351 M 351 M 314 M 314 M 314 M 314 M 255 M 255 M 255 M 255 M 176 M 176 M 176 M 176 M 109 M 109 M 109 M 109 M 72.9 M 72.9 M 72.9 M 72.9 M

Total Assets

1.33 B 1.33 B 1.35 B 1.28 B 1.26 B 1.24 B 1.2 B 1.19 B - 1.16 B 1.12 B 1.05 B 1.06 B 1.02 B 1.05 B 1.05 B 1.05 B 1.05 B 1.1 B 1.1 B 1.1 B 1.1 B 1.05 B 1.05 B 1.05 B 1.05 B 1.04 B 1.04 B 1.04 B 1.04 B 1.15 B 1.15 B 1.15 B 1.15 B 1.16 B 1.16 B 1.16 B 1.16 B 1.16 B 1.16 B 1.16 B 1.16 B 886 M 886 M 886 M 886 M 788 M 788 M 788 M 788 M 787 M 787 M 787 M 787 M

Cash and Cash Equivalents

18.5 M 17.6 M 18.6 M 9.4 M 16.6 M 12 M 11.8 M 8.83 M 12 M 9.75 M 20.8 M 11.2 M 13 M 21.6 M 67.2 M 67.2 M 67.2 M 67.2 M 11.6 M 11.6 M 11.6 M 11.6 M 33.1 M 33.1 M 33.1 M 33.1 M 16.9 M 16.9 M 16.9 M 16.9 M 17 M 17 M 17 M 17 M 58.4 M 58.4 M 58.4 M 58.4 M 257 M 257 M 257 M 257 M 58.1 M 58.1 M 58.1 M 58.1 M 25.2 M 25.2 M 25.2 M 25.2 M 5.08 M 5.08 M 5.08 M 5.08 M

Book Value

1.33 B 1.33 B 1.35 B 1.28 B 1.26 B 1.24 B 1.2 B 1.19 B - 1.16 B 1.12 B 1.05 B 1.06 B 1.02 B 1.05 B 1.05 B 1.05 B 1.05 B 1.1 B 1.1 B 1.1 B 1.1 B 1.05 B 1.05 B 1.05 B 1.05 B 1.04 B 1.04 B 1.04 B 1.04 B 1.15 B 1.15 B 1.15 B 1.15 B 1.16 B 1.16 B 1.16 B 1.16 B 1.16 B 1.16 B 1.16 B 1.16 B 886 M 886 M 886 M 886 M 788 M 788 M 788 M 788 M 787 M 787 M 787 M 787 M

Total Shareholders Equity

523 M 501 M 496 M 553 M 552 M 529 M 552 M 556 M 575 M 582 M 572 M 533 M 538 M 541 M 552 M 552 M 552 M 552 M 585 M 585 M 585 M 585 M 541 M 541 M 541 M 541 M 503 M 503 M 503 M 503 M 648 M 648 M 648 M 648 M 652 M 652 M 652 M 652 M 601 M 601 M 601 M 601 M 530 M 530 M 530 M 530 M 445 M 445 M 445 M 445 M 397 M 397 M 397 M 397 M

All numbers in USD currency