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LCLendingClub Corporation
$19.21$2.2B
Overview & Verdict
Overview
Valuation & Forecasts
Valuation ModelsEstimatesDCF Model
Price & Analyst Data
Analyst TargetsPrice HistoryTechnical Analysis
Financial Statements
Income StatementBalance SheetCash FlowRatios & Margins
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HomeStocksLCQuarterly Balance Sheet

LendingClub Corporation (LC) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

LendingClub Corporation (LC) quarterly balance sheet — complete assets, liabilities & equity history

LC Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21Q1'21
Total Current Assets3.72B3.75B842.41M994.87M3.47B5.83B3.88B3.43B3.02B2.23B1.87B2.17B1.59B1.48B1.61B1.59B1.1B1.14B846.15M1.15B
Cash & Short-Term Investments--------------------
Cash Only--------------------
Short-Term Investments--------------------
Accounts Receivable--------------------
Days Sales Outstanding11.0410.6610.9111.9912.2612.6712.6912.6912.07---9.59------15.19
Inventory--------------------
Days Inventory Outstanding--------------------
Other Current Assets-43.92M-84.95M002.41B1.38B00000000000000
Total Non-Current Assets329.81M326.05M9.93B9.49B243.25M5.21B5.71B5.81B5.81B6.24B6.47B6.58B6.39B5.3B4.58B3.99B3.8B567.6M571.88M3.34B
Property, Plant & Equipment254.09M250.33M263.48M188.16M188.84M189.01M189.18M188.46M188.13M213.28M207.04M201.38M200.34M199.89M191.63M186.38M175.31M175.94M177.29M180.24M
Fixed Asset Turnover1.40x1.36x1.47x1.59x1.67x1.60x1.47x1.41x1.36x1.29x1.47x1.50x1.48x1.63x1.78x1.64x1.55x1.47x1.24x0.73x
Goodwill75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M75.72M
Intangible Assets7.42M8.21M7.07M7.78M8.59M9.44M10.29M11.16M12.13M13.15M14.17M105.63M16.33M17.51M18.69M19.89M91.55M22.52M23.86M25.22M
Long-Term Investments3.76B9.53B3.2B8.91B8.98B49.42M5.09B5.18B5.15B5.52B5.76B5.87B5.68B4.57B3.89B3.47B3.28B293.43M295.02M2.81B
Other Non-Current Assets--------------------
Total Assets11.57B11.07B10.78B10.48B10.63B11.04B9.59B9.24B8.83B8.47B8.34B8.75B7.98B6.78B6.19B5.57B4.9B4.75B4.37B4.49B
Asset Turnover0.03x0.03x0.03x0.03x0.03x0.03x0.03x0.03x0.03x0.03x0.04x0.04x0.04x0.05x0.06x0.06x0.06x0.06x0.05x0.04x
Asset Growth %8.82%0.32%12.41%13.39%20.43%30.28%14.91%5.61%10.62%25.05%34.84%57.04%62.84%42.61%41.57%24.12%162.99%140%78.18%61.29%
Total Current Liabilities7.97M9.47B995.21M8.96B1.89B875.6M8.16B7.57B7.39B7.05B6.9B7.27B6.49B5.22B4.63B4.08B3.26B53.98M76.67M2.5B
Accounts Payable87.34M81.15M67.51M55.51M78.13M68.43M60.9M46.31M54.62M54.18M60.81M51.13M98.17M92.8M90.28M92.74M100.97M7.87M7.89M10.74M
Days Payables Outstanding--------------------
Short-Term Debt03.5M6.99M10.37M13.66M3.22M000001.39M2.62M4.8M7.98M13.19M27.78M46.11M68.78M90.09M
Deferred Revenue (Current)--------------------
Other Current Liabilities-87.34M9.38B920.71M8.9B1.8B803.94M8.1B7.52B7.33B7B6.84B7.22B6.39B5.12B4.53B3.98B3.14B-123.4M-153.93M2.37B
Current Ratio466.38x0.40x0.85x0.11x1.83x6.66x0.48x0.45x0.41x0.32x0.27x0.30x0.25x0.28x0.35x0.39x0.34x21.07x11.04x0.46x
Quick Ratio466.38x0.40x0.85x0.11x1.83x6.66x0.48x0.45x0.41x0.32x0.27x0.30x0.25x0.28x0.35x0.39x0.34x21.07x11.04x0.46x
Cash Conversion Cycle--------------------
Total Non-Current Liabilities10.07B140.92M8.37B157.16M7.4B8.82B141.88M410.58M187.54M209.69M232.63M291.9M322.11M432.56M481.71M603.59M785.54M498.9M617.4M1.26B
Long-Term Debt000014.84M2.68M5.47M262.55M19.35M28.84M42.51M44.83M130.28M113.63M152.65M204.64M310.63M403.36M517.9M659.27M
Capital Lease Obligations--------------------
Deferred Tax Liabilities--------------------
Other Non-Current Liabilities--------------------
Total Liabilities10.07B9.61B9.37B9.12B9.29B9.69B8.3B7.98B7.58B7.26B7.14B7.56B6.82B5.65B5.11B4.69B4.05B3.95B3.61B3.76B
Total Debt15.83M68.8M22.39M25.57M28.5M32.12M37.78M297.69M57.22M94.58M110.61M116.63M210.19M201.99M245.61M306.01M429.99M545.01M686.18M853.59M
Net Debt4.08M-776.87M-730.17M-869.94M-925.56M-984.81M-900.34M-768.59M-1.2B-1.21B-1.09B-1.52B-846.84M-750.85M-796.37M-747.22M-257.13M-317.14M117.53M21.79M
Debt / Equity0.01x0.05x0.02x0.02x0.02x0.02x0.03x0.24x0.05x0.08x0.09x0.10x0.18x0.18x0.23x0.34x0.51x0.68x0.90x1.16x
Debt / EBITDA0.14x0.93x0.32x0.86x1.13x1.02x1.16x10.19x2.23x4.83x4.18x3.87x6.43x4.33x4.05x5.38x17.08x13.48x32.50x-
Net Debt / EBITDA0.04x-10.48x-10.51x-29.39x-36.55x-31.41x-27.71x-26.32x-46.62x-61.94x-41.36x-50.42x-25.89x-16.10x-13.13x-13.14x-10.21x-7.85x5.57x-
Interest Coverage1.11x0.69x0.65x0.19x0.11x0.18x0.21x0.20x0.18x0.12x0.22x0.32x0.55x1.84x4.09x3.83x1.99x1.70x0.44x-1.91x
Total Equity1.5B1.46B1.41B1.36B1.34B1.34B1.29B1.27B1.25B1.21B1.21B1.19B1.16B1.12B1.08B887.43M850.24M804.79M762.36M733.13M
Equity Growth %11.83%8.89%9.17%7.76%7.18%11.15%6.84%6.34%7.52%7.74%11.71%34.18%36.94%39.34%41.55%21.05%17.41%9.66%2.17%-7.96%
Book Value per Share12.6212.3712.1511.7511.5311.7911.5511.4411.3911.0811.1711.1410.9910.5910.278.457.877.587.477.91
Total Shareholders' Equity1.5B1.46B1.41B1.36B1.34B1.34B1.29B1.27B1.25B1.21B1.21B1.19B1.16B1.12B1.08B887.43M850.24M804.79M762.36M733.13M
Common Stock1.15M1.15M1.15M1.14M1.13M1.12M1.12M1.11M1.1M1.1M1.09M1.07M1.06M1.05M1.04M1.02M1.01M998K986K972K
Retained Earnings-201.8M-243.35M-287.63M-325.81M-337.48M-347.2M-361.65M-376.56M-388.81M-398.96M-403.97M-414.08M-427.75M-451.34M-494.53M-676.59M-717.43M-796.74M-823.93M-833.3M
Treasury Stock0000000000000-98K000-92K-92K-92K
Accumulated OCI-18.16M-17.7M-26M-22.25M-24.24M-3.57M-37.38M-37.2M-30.3M-54.15M-39.19M-33.54M-37.62M-39.83M-21.84M-13.14M7.05M5.98M4.87M1.69M
Minority Interest00000000000000000000