Latest PXLW reports update at 2024-05-14: 2024-Q12023-Q1
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Pixelworks PXLW
$ 1.02 0.49%

Pixelworks Balance Sheet 2011-2024 | PXLW

Annual Balance Sheet Pixelworks

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

Net Debt

-42.6 M -53.3 M -56.3 M -24.1 M -1.5 M -17.9 M -21.5 M -19.6 M -23.6 M -14.9 M -17.8 M -13.4 M -15.1 M

Long Term Debt

2.57 M 2.15 M 2.85 M - - - 6.07 M - - - - - -

Long Term Debt Current

2.38 M 1.39 M 2.44 M 2.04 M 1.54 M - - - - - - - -

Total Non Current Liabilities

- - - 8.57 M 7.45 M 3.32 M 9.84 M 2.07 M 2.77 M 3.57 M 2.88 M 3.78 M 5.69 M

Total Current Liabilities

12.3 M 12.5 M 16.4 M 10.6 M 9.67 M 17.2 M 18.3 M 9.73 M 14.7 M 14.9 M 14.9 M 11.1 M 12.9 M

Total Liabilities

31 M 30.1 M 35.5 M 19.2 M 17.1 M 20.5 M 28.1 M 11.8 M 17.5 M 18.5 M 17.8 M 14.9 M 18.6 M

Deferred Revenue

- - - 179 K 146 K 96 K 418 K - - 30 K 1.27 M - -

Retained Earnings

-477 M -451 M -435 M -415 M -389 M -384 M -379 M -375 M -364 M -354 M -344 M -335 M -329 M

Total Assets

96 M 102 M 107 M 72 M 64.7 M 65.3 M 67.5 M 30.9 M 43.8 M 34.1 M 36.7 M 29.5 M 36.4 M

Cash and Cash Equivalents

47.5 M 56.8 M 61.6 M 31.3 M 7.26 M 17.9 M 27.5 M 19.6 M 26.6 M 17.9 M 20.8 M 13.4 M 15.1 M

Book Value

65 M 72.2 M 71.1 M 52.9 M 47.5 M 44.8 M 39.4 M 19 M 26.4 M 15.7 M 18.9 M 14.7 M 17.8 M

Total Shareholders Equity

12.5 M 32.4 M 40.2 M 52.9 M 47.5 M 49.4 M 39.4 M 19 M 26.4 M 15.7 M 18.9 M 14.7 M 17.8 M

All numbers in USD currency

Quarterly Balance Sheet Pixelworks

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

2.78 M 3.04 M 3.59 M 3.72 M 2.15 M 2.25 M 2.04 M 2.34 M 2.85 M 3.47 M 4.18 M 4.79 M 5.09 M 5.09 M 5.09 M 5.09 M 4.21 M 4.21 M 4.21 M 4.21 M - - - - 6.07 M 6.07 M 6.07 M 6.07 M - - - - - - - - - - - - - - - - - - - - - - - -

Total Non Current Liabilities

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

Total Liabilities

30.8 M 33.6 M 30.5 M 31.4 M 30.1 M 29.6 M 31.8 M 32.1 M 35.5 M 34.2 M 19 M 18.6 M 19.2 M 19.2 M 19.2 M 19.2 M 17.1 M 17.1 M 17.1 M 17.1 M 16 M 16 M 16 M 20.5 M 28.1 M 28.1 M 28.1 M 28.1 M 11.8 M 11.8 M 11.8 M 11.8 M 17.5 M 17.5 M 17.5 M 17.5 M 18.5 M 18.5 M 18.5 M 18.5 M 17.8 M 17.8 M 17.8 M 17.8 M 14.9 M 14.9 M 14.9 M 14.9 M 18.6 M 18.6 M 18.6 M 18.6 M

Deferred Revenue

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

Retained Earnings

-482 M -473 M -466 M -460 M -451 M -449 M -445 M -440 M -435 M -432 M -428 M -423 M -415 M -415 M -415 M -415 M -389 M -389 M -389 M -389 M -380 M -380 M -380 M -384 M -379 M -379 M -379 M -379 M -375 M -375 M -375 M -375 M -364 M -364 M -364 M -364 M -354 M -354 M -354 M -354 M -344 M -344 M -344 M -344 M -335 M -335 M -335 M -335 M -329 M -329 M -329 M -329 M

Total Assets

91.8 M 101 M 104 M 110 M 102 M 102 M 96.8 M 100 M 107 M 107 M 63.4 M 65.9 M 72 M 72 M 72 M 72 M 64.7 M 64.7 M 64.7 M 64.7 M 65.3 M 65.3 M 65.3 M 65.3 M 67.5 M 67.5 M 67.5 M 67.5 M 30.9 M 30.9 M 30.9 M 30.9 M 43.8 M 43.8 M 43.8 M 43.8 M 34.1 M 34.1 M 34.1 M 34.1 M 36.7 M 36.7 M 36.7 M 36.7 M 29.5 M 29.5 M 29.5 M 29.5 M 36.4 M 36.4 M 36.4 M 36.4 M

Cash and Cash Equivalents

46.2 M 50.3 M 54.5 M 62.8 M 56.8 M 57.6 M 49.6 M 55.2 M 61.6 M 66.6 M 23.6 M 25.4 M 31.3 M 31.3 M 31.3 M 31.3 M 7.26 M 7.26 M 7.26 M 7.26 M 17.9 M 17.9 M 17.9 M 17.9 M 27.5 M 27.5 M 27.5 M 27.5 M 19.6 M 19.6 M 19.6 M 19.6 M 26.6 M 26.6 M 26.6 M 26.6 M 17.9 M 17.9 M 17.9 M 17.9 M 20.8 M 20.8 M 20.8 M 20.8 M 13.4 M 13.4 M 13.4 M 13.4 M 15.1 M 15.1 M 15.1 M 15.1 M

Book Value

61 M 67.6 M 73.5 M 78.4 M 72.2 M 72.7 M 65 M 68.3 M 71.1 M 72.7 M 44.4 M 47.3 M 52.9 M 52.9 M 52.9 M 52.9 M 47.5 M 47.5 M 47.5 M 47.5 M 49.4 M 49.4 M 49.4 M 44.8 M 39.4 M 39.4 M 39.4 M 39.4 M 19 M 19 M 19 M 19 M 26.4 M 26.4 M 26.4 M 26.4 M 15.7 M 15.7 M 15.7 M 15.7 M 18.9 M 18.9 M 18.9 M 18.9 M 14.7 M 14.7 M 14.7 M 14.7 M 17.8 M 17.8 M 17.8 M 17.8 M

Total Shareholders Equity

9.45 M 16.2 M 21.6 M 49.1 M 32.4 M 44.5 M 35.1 M 36.7 M 40.2 M 42.4 M 44.4 M 47.3 M 52.9 M 52.9 M 52.9 M 52.9 M 47.5 M 47.5 M 47.5 M 47.5 M 49.4 M 49.4 M 49.4 M 44.8 M 43.3 M 39.4 M 39.4 M 39.4 M 22.3 M 19 M 19 M 19 M 26.4 M 26.4 M 26.4 M 26.4 M 15.7 M 15.7 M 15.7 M 15.7 M 18.9 M 18.9 M 18.9 M 18.9 M 14.7 M 14.7 M 14.7 M 14.7 M 17.8 M 17.8 M 17.8 M 17.8 M

All numbers in USD currency