The latest quarterly long-term debt is $0 with a quarter-over-quarter change of 0.00%. Long-term debt includes bonds, term loans, mortgages, and other borrowings with maturities greater than one year. It represents the company's structural leverage.
Reported quarterly long-term debt; no daily interpolation.
$0
$0
0.00%
vs. $0 prior quarter
27
Quarters of data available
| Period | Long-Term Debt | QoQ Change | % Change |
|---|---|---|---|
| Quarter ended Apr 2026 | $0 | +$0 | N/A |
| Quarter ended Jan 2026 | $0 | −$35.58M | -100.00% |
| Quarter ended Oct 2025 | $35.58M | −$1.24M | -3.36% |
| Quarter ended Jul 2025 | $36.81M | −$1.24M | -3.26% |
| Quarter ended Apr 2025 | $38.05M | −$1.24M | -3.15% |
| Quarter ended Jan 2025 | $39.29M | −$613.00K | -1.54% |
| Quarter ended Oct 2024 | $39.90M | −$1.24M | -3.01% |
| Quarter ended Jul 2024 | $41.14M | −$1.24M | -2.92% |
| Quarter ended Apr 2024 | $42.38M | −$1.24M | -2.84% |
| Quarter ended Jan 2024 | $43.62M | −$1.24M | -2.76% |
| Quarter ended Oct 2023 | $44.86M | −$613.00K | -1.35% |
| Quarter ended Jul 2023 | $45.47M | −$613.00K | -1.33% |
| Quarter ended Apr 2023 | $46.08M | −$614.00K | -1.31% |
| Quarter ended Jan 2023 | $46.70M | +$16.24M | +53.31% |
| Quarter ended Oct 2022 | $30.46M | −$1.50M | -4.68% |
| Quarter ended Jul 2022 | $31.95M | −$1.50M | -4.47% |
| Quarter ended Apr 2022 | $33.45M | −$1.16M | -3.36% |
| Quarter ended Jan 2022 | $34.61M | −$996.00K | -2.80% |
| Quarter ended Oct 2021 | $35.61M | −$996.00K | -2.72% |
| Quarter ended Jul 2021 | $36.60M | −$362.33M | -90.82% |
| Quarter ended Apr 2021 | $398.94M | +$18.27M | +4.80% |
| Quarter ended Jan 2021 | $380.67M | +$27.39M | +7.75% |
| Quarter ended Oct 2020 | $353.28M | +$19.94M | +5.98% |
| Quarter ended Jul 2020 | $333.34M | +$123.25M | +58.67% |
| Quarter ended Apr 2020 | $210.09M | +$6.99M | +3.44% |
| Quarter ended Jan 2020 | $203.10M | +$203.10M | N/A |
| Quarter ended Apr 2019 | $0 | N/A | N/A |