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PSTGEverpure, Inc
$86.22$28.5B
Overview & Verdict
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HomeStocksPSTGQuarterly Balance Sheet

Everpure, Inc (PSTG) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Everpure, Inc (PSTG) quarterly balance sheet — complete assets, liabilities & equity history

PSTG Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'27Q4'26Q3'26Q2'26Q1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22
Total Current Assets2.91B3.06B2.54B2.42B2.4B2.57B2.56B2.55B2.36B2.41B2.25B2.04B1.87B2.48B2.21B2.02B1.87B2.19B1.93B1.86B
Cash & Short-Term Investments1.5B1.55B1.53B1.54B1.58B1.52B1.65B1.82B1.72B1.53B1.35B1.23B1.18B1.58B1.47B1.36B1.29B1.41B1.36B1.28B
Cash Only837.79M854.87M852.84M887.85M739.34M723.58M894.57M965.03M900.62M702.54M529.19M408.9M378.29M580.85M795.93M652.57M455.24M466.2M404.69M340.25M
Short-Term Investments666.96M692.45M678.77M649.66M839.75M798.24M753.96M855.45M823.4M828.56M821.87M819.78M805.72M1B669.17M709.89M836.73M947.07M958.18M944.28M
Accounts Receivable886.81M944.84M620.96M530.48M411.32M680.86M578.22M416.5M423.45M662.18M636.32M525.26M391.29M612.49M435.62M402.01M345.93M542.14M354.18M358.46M
Days Sales Outstanding76.5467.4754.3249.7763.8363.6854.4650.0474.3671.5269.2860.5681.7655.6356.3752.6269.4358.1957.6262.82
Inventory77.94M75.94M82.42M46.81M37.55M42.81M41.57M43.55M40.67M42.66M46.21M47.5M51.82M52.09M61.35M52.27M41.3M38.94M44.04M47.17M
Days Inventory Outstanding20.5422.6622.0214.9515.0913.1415.6117.1320.0217.4720.2922.3628.3519.624.6520.9520.0616.422.0827.99
Other Current Assets437.02M495.39M307.89M305.14M372.28M321.79M291.32M87.42M174.24M173.41M74.3M71.34M68.83M230.01M69.4M70.92M67.45M81.59M63.42M58M
Total Non-Current Assets1.84B1.61B1.68B1.61B1.41B1.4B1.29B1.23B1.26B1.25B1.11B1.09B1.09B1.07B1.04B1.03B953.74M943.14M929.13M924.13M
Property, Plant & Equipment815.73M773M760.75M735.32M641.95M608.39M588.93M535.46M494.59M482.55M464.12M458.85M458.1M431.36M412.28M391.95M320.21M307.05M308.87M306.69M
Fixed Asset Turnover1.33x1.38x1.29x1.25x1.25x1.47x1.48x1.48x1.42x1.67x1.65x1.50x1.33x1.92x1.68x1.82x1.98x2.30x1.83x1.63x
Goodwill365.07M365.07M364.74M361.43M361.43M361.43M361.43M361.43M361.43M361.43M361.43M361.43M361.43M361.43M361.43M361.43M358.74M358.74M358.74M358.74M
Intangible Assets5.34M7.35M9.41M11.14M15.11M19.07M23.04M27M29.16M33.01M36.87M40.91M45.06M49.22M53.38M57.54M58.59M62.65M66.99M68.28M
Long-Term Investments8.29M019.15M19.77M00009.6M9.6M9.96M9.96M-934.5M10.54M10.54M10.54M10.54M10.54M10.54M10.54M
Other Non-Current Assets649M465.35M521.48M478.93M391.65M407.78M321.42M304.36M337.31M359.84M246.07M231.68M47.54M226.6M217.06M217.94M216.19M204.16M183.99M179.88M
Total Assets4.75B4.67B4.22B4.03B3.81B3.96B3.85B3.78B3.62B3.66B3.36B3.13B2.96B3.55B3.25B3.05B2.83B3.14B2.86B2.78B
Asset Turnover0.22x0.24x0.23x0.22x0.20x0.23x0.22x0.21x0.19x0.23x0.24x0.23x0.18x0.24x0.21x0.22x0.21x0.24x0.20x0.18x
Asset Growth %24.66%17.92%9.44%6.49%5.15%8.43%14.87%20.66%22.45%3.11%3.17%2.76%4.63%13.08%13.89%9.56%4.83%11.2%7.64%19.9%
Total Current Liabilities1.89B1.91B1.61B1.53B1.49B1.6B1.44B1.28B1.23B1.37B1.24B1.2B1.11B1.75B1.62B1.53B1.44B952.32M779.8M754.73M
Accounts Payable173.21M153.31M128.02M112.16M83.86M112.39M102.02M68.1M55.71M82.76M101.09M98.01M71.33M67.12M102.88M64M58.67M70.7M48.71M54.69M
Days Payables Outstanding43.5940.2640.9234.7536.8533.3831.1925.1833.2636.1443.1238.1337.7729.3736.2127.4732.3523.625.0327.64
Short-Term Debt45.37M44.08M43.6M47.08M141.56M143.88M148.63M51.61M49.2M48.87M49.88M48.92M43.49M613.64M604.97M607.08M609.93M35.1M35.06M34.48M
Deferred Revenue (Current)1.25B1.18B1.03B1.04B999.57M984.98M923.27M891.88M883.2M875.78M822.55M787.74M750.05M735.97M647.12M609.55M577.35M572.99M517.98M485.93M
Other Current Liabilities181.94M531.54M159.83M115.76M116.21M109.08M102.11M85.87M86.86M94.92M96.54M93.66M88.25M83.88M98.72M87.64M78.81M61.79M52.74M48.15M
Current Ratio1.54x1.60x1.58x1.58x1.61x1.61x1.77x1.99x1.93x1.76x1.82x1.70x1.69x1.42x1.36x1.32x1.30x2.30x2.47x2.46x
Quick Ratio1.50x1.56x1.53x1.55x1.58x1.58x1.74x1.96x1.89x1.73x1.78x1.66x1.64x1.39x1.32x1.29x1.27x2.26x2.41x2.40x
Cash Conversion Cycle53.4949.8735.4229.9842.0843.4438.8741.9961.1252.8546.4644.7972.3445.8644.8246.157.1450.9954.6763.17
Total Non-Current Liabilities1.42B1.32B1.21B1.17B1.07B1.06B999.24M1.05B1.02B1.02B969.15M943.78M947.25M852.36M789.15M763.19M659.89M1.43B1.35B1.33B
Long-Term Debt0172.06M00000100M100M100M100M100M100M0000786.78M778.37M770.66M
Capital Lease Obligations185.59M0181.95M178.51M130.52M137.28M146.39M128.74M120.77M123.38M122.77M135.06M144.11M147.24M147.11M150.71M91.64M93.48M99.03M106.69M
Deferred Tax Liabilities000000064K000000000000
Other Non-Current Liabilities108.12M1.15B96.78M89.93M83.05M82.18M68.57M62.05M61.31M54.33M51.43M41.55M39.9M37.62M40.94M43.34M33.13M31.1M23.56M30.27M
Total Liabilities3.31B3.23B2.82B2.71B2.57B2.66B2.44B2.33B2.25B2.39B2.21B2.15B2.05B2.6B2.41B2.29B2.1B2.38B2.13B2.09B
Total Debt230.96M216.14M225.55M225.59M272.09M281.15M295.02M280.35M269.98M272.25M272.65M283.98M287.61M760.88M752.08M757.79M701.57M915.36M912.46M911.84M
Net Debt-606.83M-638.73M-627.29M-662.26M-467.25M-442.43M-599.55M-684.68M-630.64M-430.28M-256.54M-124.92M-90.68M180.03M-43.85M105.22M246.33M449.16M507.77M571.59M
Debt / Equity0.16x0.15x0.16x0.17x0.22x0.22x0.21x0.19x0.20x0.21x0.24x0.29x0.32x0.81x0.89x1.00x0.96x1.21x1.26x1.31x
Debt / EBITDA3.84x1.69x2.46x5.53x104.69x3.93x3.38x4.61x-3.02x2.58x11.83x-8.20x21.58x19.81x38.77x17.17x266.18x-
Net Debt / EBITDA-10.09x-5.01x-6.84x-16.23x-179.78x-6.18x-6.86x-11.27x--4.77x-2.42x-5.21x-1.94x-1.26x2.75x13.61x8.42x148.12x-
Interest Coverage--247.02x9.60x1.27x30.43x40.92x22.84x-12.76x35.67x38.92x1.23x-42.37x71.75x6.66x15.93x-6.25x2.99x-1.86x-3.59x
Total Equity1.44B1.45B1.4B1.32B1.24B1.31B1.41B1.45B1.37B1.27B1.15B986.33M905.81M941.23M840.51M761.36M727.09M754.34M724.42M697.44M
Equity Growth %15.92%10.65%-0.55%-9.24%-9.46%2.86%22.82%47.33%51.69%34.94%36.64%29.55%24.58%24.78%16.02%9.16%1.62%0.58%-1.45%-6.52%
Book Value per Share4.204.184.123.903.813.814.144.234.263.833.483.192.962.772.792.432.462.382.522.46
Total Shareholders' Equity1.44B1.45B1.4B1.32B1.24B1.31B1.41B1.45B1.37B1.27B1.15B986.33M905.81M941.23M840.51M761.36M727.09M754.34M724.42M697.44M
Common Stock2.6B2.62B2.68B33K33K33K33K33K33K32K32K31K31K30K30K30K30K29K29K28K
Retained Earnings-1.16B-1.18B-1.28B-1.34B-1.38B-1.37B-1.41B-1.48B-1.51B-1.48B-1.54B-1.61B-1.6B-1.54B-1.61B-1.61B-1.62B-1.71B-1.72B-1.69B
Treasury Stock00000000000000000000
Accumulated OCI-1.61M1.71M2.01M1.92M1.83M954K1.02M2.71M-5.58M-3.78M-10.03M-12.61M-10.91M-15.5M-23.75M-20.1M-18.84M-8.37M-307K3.48M
Minority Interest00000000000000000000