US Stock MarketDetailed Quotes

BL BlackLine

Watchlist
  • 46.650
  • -0.500-1.06%
Close May 6 16:00 ET
  • 46.650
  • 0.0000.00%
Pre 08:00 ET
2.94BMarket Cap33.80P/E (TTM)

BlackLine Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments
-30.39%866.48M
-26.45%885.92M
-26.45%885.92M
-27.17%846.28M
-7.21%1.05B
14.43%1.24B
12.04%1.2B
12.04%1.2B
11.10%1.16B
9.39%1.13B
-Cash and cash equivalents
44.70%479.54M
226.76%885.92M
226.76%885.92M
206.99%725.27M
201.51%616.63M
48.91%331.4M
34.91%271.12M
34.91%271.12M
24.01%236.25M
-1.89%204.51M
-Short-term investments
-57.64%386.95M
--0
--0
-86.93%121.02M
-53.52%428.46M
5.56%913.45M
6.78%933.36M
6.78%933.36M
8.22%925.72M
12.25%921.74M
Receivables
16.71%146.61M
3.81%178.14M
3.81%178.14M
4.61%136.5M
5.89%137.44M
4.31%125.61M
13.75%171.61M
13.75%171.61M
19.93%130.48M
7.52%129.8M
-Accounts receivable
16.71%146.61M
3.81%178.14M
3.81%178.14M
4.61%136.5M
5.89%137.44M
4.31%125.61M
13.75%171.61M
13.75%171.61M
19.93%130.48M
7.52%129.8M
Other current assets
-8.82%30.26M
-9.27%28.35M
-9.27%28.35M
14.07%30.45M
-0.07%27.68M
-4.93%33.19M
32.07%31.24M
32.07%31.24M
--26.69M
--27.7M
Total current assets
-25.67%1.04B
-22.38%1.09B
-22.38%1.09B
-23.19%1.01B
-5.73%1.21B
12.91%1.4B
12.62%1.41B
12.62%1.41B
12.07%1.32B
9.58%1.28B
Non current assets
Net PPE
27.37%41.09M
1.68%34.61M
1.68%34.61M
-1.77%34.6M
-21.54%30.04M
-2.30%32.26M
-1.39%34.04M
-1.39%34.04M
-1.88%35.23M
7.33%38.28M
-Gross PPE
27.37%41.09M
10.17%86.4M
10.17%86.4M
-1.77%34.6M
-21.54%30.04M
-2.30%32.26M
10.27%78.42M
10.27%78.42M
-1.88%35.23M
7.33%38.28M
-Accumulated depreciation
----
-16.69%-51.79M
-16.69%-51.79M
----
----
----
-21.27%-44.38M
-21.27%-44.38M
----
----
Goodwill and other intangible assets
-1.93%550.97M
-2.11%553.93M
-2.11%553.93M
-2.50%555.94M
-0.42%558.5M
-0.39%561.81M
-0.17%565.85M
-0.17%565.85M
-0.03%570.19M
-2.15%560.86M
-Goodwill
0.00%448.97M
0.00%448.97M
0.00%448.97M
-0.00%448.97M
1.15%448.97M
1.15%448.97M
1.15%448.97M
1.15%448.97M
1.15%448.99M
0.00%443.86M
-Other intangible assets
-9.60%102.01M
-10.19%104.97M
-10.19%104.97M
-11.74%106.97M
-6.37%109.54M
-6.08%112.84M
-4.92%116.88M
-4.92%116.88M
-4.18%121.2M
-9.55%116.99M
Non current deferred assets
--54.32M
36,595.17%53.21M
36,595.17%53.21M
----
----
----
--145K
--145K
----
----
Other non current assets
0.27%91.41M
-2.71%90.88M
-2.71%90.88M
-0.20%91.39M
-0.59%91.94M
-1.36%91.16M
0.68%93.41M
0.68%93.41M
-2.91%91.58M
-0.75%92.48M
Total non current assets
7.67%737.8M
5.65%732.63M
5.65%732.63M
-2.16%681.93M
-1.61%680.48M
-0.61%685.23M
-0.09%693.44M
-0.09%693.44M
-0.51%697M
-1.49%691.62M
Total assets
-14.73%1.78B
-13.13%1.83B
-13.13%1.83B
-15.92%1.7B
-4.29%1.89B
8.08%2.09B
8.08%2.1B
8.08%2.1B
7.37%2.02B
5.43%1.98B
Liabilities
Current liabilities
Payables
-52.18%3.96M
9.59%19.76M
9.59%19.76M
14.99%14.08M
-24.29%12.03M
-47.84%8.28M
-26.04%18.03M
-26.04%18.03M
-1.38%12.25M
-24.64%15.88M
-accounts payable
154.43%3.96M
-1.86%8.46M
-1.86%8.46M
-18.16%3.93M
-73.63%2.08M
-65.97%1.56M
-42.38%8.62M
-42.38%8.62M
-13.23%4.8M
-45.60%7.9M
-Total tax payable
----
20.08%11.3M
20.08%11.3M
36.37%10.15M
24.51%9.94M
-40.50%6.72M
-0.07%9.41M
-0.07%9.41M
8.15%7.45M
21.78%7.99M
Current accrued expenses
148.68%62.76M
19.82%41.83M
19.82%41.83M
52.49%58.28M
68.91%41.98M
-0.46%25.24M
-14.39%34.91M
-14.39%34.91M
17.08%38.22M
-4.40%24.86M
Current debt and capital lease obligation
-8.47%232.77M
-98.59%3.59M
-98.59%3.59M
-98.43%3.98M
4,589.25%254.39M
3,594.33%254.32M
3,565.88%254.12M
3,565.88%254.12M
3,972.81%253.9M
-3.19%5.43M
-Current debt
-8.09%229.38M
----
----
----
--249.89M
--249.56M
--249.23M
--249.23M
--248.9M
----
-Current capital lease obligation
-28.73%3.39M
-26.50%3.59M
-26.50%3.59M
-20.30%3.98M
-16.98%4.5M
-30.88%4.76M
-29.52%4.89M
-29.52%4.89M
-19.87%5M
-3.19%5.43M
Current deferred liabilities
7.80%330.8M
5.77%338.62M
5.77%338.62M
8.35%300.99M
11.14%311.26M
10.74%306.86M
14.61%320.13M
14.61%320.13M
13.32%277.8M
13.47%280.05M
Other current liabilities
----
20.01%18.44M
20.01%18.44M
----
----
-60.41%15.17M
-6.32%15.37M
-6.32%15.37M
30.66%23.69M
0.20%28.82M
Current liabilities
3.35%630.29M
-34.29%422.24M
-34.29%422.24M
-37.72%377.34M
74.53%619.66M
67.75%609.86M
74.70%642.57M
74.70%642.57M
92.59%605.86M
8.16%355.04M
Non current liabilities
Long term debt and capital lease obligation
-40.47%688.82M
-21.04%913.01M
-21.04%913.01M
-20.97%913.63M
-35.57%905.41M
-17.05%1.16B
-17.07%1.16B
-17.07%1.16B
-17.06%1.16B
0.86%1.41B
-Long term debt
-41.83%664.13M
-21.74%892.68M
-21.74%892.68M
-21.74%891.83M
-35.76%890.98M
-17.61%1.14B
-17.60%1.14B
-17.60%1.14B
-17.60%1.14B
0.40%1.39B
-Long term capital lease obligation
60.77%24.69M
29.18%20.34M
29.18%20.34M
32.11%21.81M
-20.39%14.43M
66.14%15.36M
56.22%15.74M
56.22%15.74M
50.03%16.51M
54.92%18.12M
Non current deferred liabilities
-26.34%5.6M
-18.85%5.92M
-18.85%5.92M
-10.05%6.04M
11.74%7M
22.08%7.6M
23.46%7.3M
23.46%7.3M
18.11%6.72M
5.09%6.26M
Other non current liabilities
310.76%2.71M
-80.38%708K
-80.38%708K
-84.81%604K
-87.28%795K
-96.98%660K
-90.93%3.61M
-90.93%3.61M
-93.48%3.98M
-85.57%6.25M
Total non current liabilities
-40.17%697.14M
-21.21%919.64M
-21.21%919.64M
-21.12%920.28M
-35.59%913.2M
-18.11%1.17B
-18.94%1.17B
-18.94%1.17B
-20.12%1.17B
-1.72%1.42B
Total liabilities
-25.22%1.33B
-25.86%1.34B
-25.86%1.34B
-26.80%1.3B
-13.53%1.53B
-0.64%1.78B
0.11%1.81B
0.11%1.81B
-0.14%1.77B
0.11%1.77B
Shareholders'equity
Share capital
0.81%623K
2.11%628K
2.11%628K
1.79%624K
1.97%622K
2.15%618K
2.50%615K
2.50%615K
2.51%613K
2.35%610K
-common stock
0.81%623K
2.11%628K
2.11%628K
1.79%624K
1.97%622K
2.15%618K
2.50%615K
2.50%615K
2.51%613K
2.35%610K
Retained earnings
78.00%-44.11M
77.19%-48.99M
77.19%-48.99M
53.18%-111.79M
49.99%-126.04M
28.35%-200.47M
21.31%-214.8M
21.31%-214.8M
15.74%-238.76M
4.79%-252.04M
Paid-in capital
-3.87%461.57M
4.32%495.39M
4.32%495.39M
5.31%479.19M
5.22%451.74M
21.13%480.18M
23.11%474.86M
23.11%474.86M
25.09%455.04M
24.71%429.32M
Gains losses not affecting retained earnings
63.60%-178K
-276.10%-361K
-276.10%-361K
89.82%-118K
63.31%-561K
-111.69%-489K
113.93%205K
113.93%205K
62.37%-1.16M
-60.61%-1.53M
Total stockholders'equity
49.34%417.9M
71.22%446.67M
71.22%446.67M
70.54%367.91M
84.71%325.76M
139.19%279.83M
133.20%260.88M
133.20%260.88M
176.82%215.73M
122.73%176.36M
Noncontrolling interests
5.66%35.82M
21.36%36.48M
21.36%36.48M
6.56%29.63M
21.99%32.07M
16.29%33.9M
25.81%30.06M
25.81%30.06M
13.06%27.81M
11.22%26.29M
Total equity
44.62%453.72M
66.06%483.15M
66.06%483.15M
63.24%397.54M
76.58%357.83M
114.67%313.73M
114.30%290.94M
114.30%290.94M
137.54%243.54M
97.10%202.65M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
--
--
(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023
Assets
Current assets
Cash, cash equivalents and short term investments -30.39%866.48M-26.45%885.92M-26.45%885.92M-27.17%846.28M-7.21%1.05B14.43%1.24B12.04%1.2B12.04%1.2B11.10%1.16B9.39%1.13B
-Cash and cash equivalents 44.70%479.54M226.76%885.92M226.76%885.92M206.99%725.27M201.51%616.63M48.91%331.4M34.91%271.12M34.91%271.12M24.01%236.25M-1.89%204.51M
-Short-term investments -57.64%386.95M--0--0-86.93%121.02M-53.52%428.46M5.56%913.45M6.78%933.36M6.78%933.36M8.22%925.72M12.25%921.74M
Receivables 16.71%146.61M3.81%178.14M3.81%178.14M4.61%136.5M5.89%137.44M4.31%125.61M13.75%171.61M13.75%171.61M19.93%130.48M7.52%129.8M
-Accounts receivable 16.71%146.61M3.81%178.14M3.81%178.14M4.61%136.5M5.89%137.44M4.31%125.61M13.75%171.61M13.75%171.61M19.93%130.48M7.52%129.8M
Other current assets -8.82%30.26M-9.27%28.35M-9.27%28.35M14.07%30.45M-0.07%27.68M-4.93%33.19M32.07%31.24M32.07%31.24M--26.69M--27.7M
Total current assets -25.67%1.04B-22.38%1.09B-22.38%1.09B-23.19%1.01B-5.73%1.21B12.91%1.4B12.62%1.41B12.62%1.41B12.07%1.32B9.58%1.28B
Non current assets
Net PPE 27.37%41.09M1.68%34.61M1.68%34.61M-1.77%34.6M-21.54%30.04M-2.30%32.26M-1.39%34.04M-1.39%34.04M-1.88%35.23M7.33%38.28M
-Gross PPE 27.37%41.09M10.17%86.4M10.17%86.4M-1.77%34.6M-21.54%30.04M-2.30%32.26M10.27%78.42M10.27%78.42M-1.88%35.23M7.33%38.28M
-Accumulated depreciation -----16.69%-51.79M-16.69%-51.79M-------------21.27%-44.38M-21.27%-44.38M--------
Goodwill and other intangible assets -1.93%550.97M-2.11%553.93M-2.11%553.93M-2.50%555.94M-0.42%558.5M-0.39%561.81M-0.17%565.85M-0.17%565.85M-0.03%570.19M-2.15%560.86M
-Goodwill 0.00%448.97M0.00%448.97M0.00%448.97M-0.00%448.97M1.15%448.97M1.15%448.97M1.15%448.97M1.15%448.97M1.15%448.99M0.00%443.86M
-Other intangible assets -9.60%102.01M-10.19%104.97M-10.19%104.97M-11.74%106.97M-6.37%109.54M-6.08%112.84M-4.92%116.88M-4.92%116.88M-4.18%121.2M-9.55%116.99M
Non current deferred assets --54.32M36,595.17%53.21M36,595.17%53.21M--------------145K--145K--------
Other non current assets 0.27%91.41M-2.71%90.88M-2.71%90.88M-0.20%91.39M-0.59%91.94M-1.36%91.16M0.68%93.41M0.68%93.41M-2.91%91.58M-0.75%92.48M
Total non current assets 7.67%737.8M5.65%732.63M5.65%732.63M-2.16%681.93M-1.61%680.48M-0.61%685.23M-0.09%693.44M-0.09%693.44M-0.51%697M-1.49%691.62M
Total assets -14.73%1.78B-13.13%1.83B-13.13%1.83B-15.92%1.7B-4.29%1.89B8.08%2.09B8.08%2.1B8.08%2.1B7.37%2.02B5.43%1.98B
Liabilities
Current liabilities
Payables -52.18%3.96M9.59%19.76M9.59%19.76M14.99%14.08M-24.29%12.03M-47.84%8.28M-26.04%18.03M-26.04%18.03M-1.38%12.25M-24.64%15.88M
-accounts payable 154.43%3.96M-1.86%8.46M-1.86%8.46M-18.16%3.93M-73.63%2.08M-65.97%1.56M-42.38%8.62M-42.38%8.62M-13.23%4.8M-45.60%7.9M
-Total tax payable ----20.08%11.3M20.08%11.3M36.37%10.15M24.51%9.94M-40.50%6.72M-0.07%9.41M-0.07%9.41M8.15%7.45M21.78%7.99M
Current accrued expenses 148.68%62.76M19.82%41.83M19.82%41.83M52.49%58.28M68.91%41.98M-0.46%25.24M-14.39%34.91M-14.39%34.91M17.08%38.22M-4.40%24.86M
Current debt and capital lease obligation -8.47%232.77M-98.59%3.59M-98.59%3.59M-98.43%3.98M4,589.25%254.39M3,594.33%254.32M3,565.88%254.12M3,565.88%254.12M3,972.81%253.9M-3.19%5.43M
-Current debt -8.09%229.38M--------------249.89M--249.56M--249.23M--249.23M--248.9M----
-Current capital lease obligation -28.73%3.39M-26.50%3.59M-26.50%3.59M-20.30%3.98M-16.98%4.5M-30.88%4.76M-29.52%4.89M-29.52%4.89M-19.87%5M-3.19%5.43M
Current deferred liabilities 7.80%330.8M5.77%338.62M5.77%338.62M8.35%300.99M11.14%311.26M10.74%306.86M14.61%320.13M14.61%320.13M13.32%277.8M13.47%280.05M
Other current liabilities ----20.01%18.44M20.01%18.44M---------60.41%15.17M-6.32%15.37M-6.32%15.37M30.66%23.69M0.20%28.82M
Current liabilities 3.35%630.29M-34.29%422.24M-34.29%422.24M-37.72%377.34M74.53%619.66M67.75%609.86M74.70%642.57M74.70%642.57M92.59%605.86M8.16%355.04M
Non current liabilities
Long term debt and capital lease obligation -40.47%688.82M-21.04%913.01M-21.04%913.01M-20.97%913.63M-35.57%905.41M-17.05%1.16B-17.07%1.16B-17.07%1.16B-17.06%1.16B0.86%1.41B
-Long term debt -41.83%664.13M-21.74%892.68M-21.74%892.68M-21.74%891.83M-35.76%890.98M-17.61%1.14B-17.60%1.14B-17.60%1.14B-17.60%1.14B0.40%1.39B
-Long term capital lease obligation 60.77%24.69M29.18%20.34M29.18%20.34M32.11%21.81M-20.39%14.43M66.14%15.36M56.22%15.74M56.22%15.74M50.03%16.51M54.92%18.12M
Non current deferred liabilities -26.34%5.6M-18.85%5.92M-18.85%5.92M-10.05%6.04M11.74%7M22.08%7.6M23.46%7.3M23.46%7.3M18.11%6.72M5.09%6.26M
Other non current liabilities 310.76%2.71M-80.38%708K-80.38%708K-84.81%604K-87.28%795K-96.98%660K-90.93%3.61M-90.93%3.61M-93.48%3.98M-85.57%6.25M
Total non current liabilities -40.17%697.14M-21.21%919.64M-21.21%919.64M-21.12%920.28M-35.59%913.2M-18.11%1.17B-18.94%1.17B-18.94%1.17B-20.12%1.17B-1.72%1.42B
Total liabilities -25.22%1.33B-25.86%1.34B-25.86%1.34B-26.80%1.3B-13.53%1.53B-0.64%1.78B0.11%1.81B0.11%1.81B-0.14%1.77B0.11%1.77B
Shareholders'equity
Share capital 0.81%623K2.11%628K2.11%628K1.79%624K1.97%622K2.15%618K2.50%615K2.50%615K2.51%613K2.35%610K
-common stock 0.81%623K2.11%628K2.11%628K1.79%624K1.97%622K2.15%618K2.50%615K2.50%615K2.51%613K2.35%610K
Retained earnings 78.00%-44.11M77.19%-48.99M77.19%-48.99M53.18%-111.79M49.99%-126.04M28.35%-200.47M21.31%-214.8M21.31%-214.8M15.74%-238.76M4.79%-252.04M
Paid-in capital -3.87%461.57M4.32%495.39M4.32%495.39M5.31%479.19M5.22%451.74M21.13%480.18M23.11%474.86M23.11%474.86M25.09%455.04M24.71%429.32M
Gains losses not affecting retained earnings 63.60%-178K-276.10%-361K-276.10%-361K89.82%-118K63.31%-561K-111.69%-489K113.93%205K113.93%205K62.37%-1.16M-60.61%-1.53M
Total stockholders'equity 49.34%417.9M71.22%446.67M71.22%446.67M70.54%367.91M84.71%325.76M139.19%279.83M133.20%260.88M133.20%260.88M176.82%215.73M122.73%176.36M
Noncontrolling interests 5.66%35.82M21.36%36.48M21.36%36.48M6.56%29.63M21.99%32.07M16.29%33.9M25.81%30.06M25.81%30.06M13.06%27.81M11.22%26.29M
Total equity 44.62%453.72M66.06%483.15M66.06%483.15M63.24%397.54M76.58%357.83M114.67%313.73M114.30%290.94M114.30%290.94M137.54%243.54M97.10%202.65M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------

Market Insights

Fed Rate Cut Beneficiaries Fed Rate Cut Beneficiaries

Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data. Stocks that are expected to benefit from a Federal Reserve rate cut. Information is provided by Futu and is a non-exhaustive list of all thematic stocks for reference purposes only. This section presents the top 5 stocks in Fed Rate Cut Beneficiaries, ranked from highest to lowest based on real-time market data.

Unlock Now

Discussing

Trump 2.0 Era: How will global markets evolve?
🎙️Discussion: 1. How will tariff policies affect the movement of key assets such as U.S. stocks, gold, and Bitcoin? 2. Given this context, Show More