Vivid Seats Inc Balance Sheet
Concept
Total Assets
Current Assets
Cash, Cash Equivalents & Short Term Investments
Cash & Equivalents
Other Short Term Investments
Receivables
Inventory
Other Current Assets
Total non-current assets
Property, Plant & Equipment
Long-Term Investments
Total Liabilities
Current Liabilities
Accounts Payable
Current Debt
Deferred Revenue
Total Non Current Liabilities Net Minority Interest
Long-Term Debt
Other Long-Term Liabilities
Common Stock Equity
Working Capital
Invested Capital
Total Debt
Net Debt
2023
2022
2021
2020
2019
1,550M
246M
132M
0M
0M
58M
21M
34M
1,304M
0M
3M
963M
488M
258M
4M
35M
476M
265M
29M
105M
-242M
374M
285M
152M
1,151M
332M
252M
0M
0M
37M
13M
30M
820M
10M
0M
671M
378M
161M
3M
32M
293M
265M
13M
-383M
-46M
-115M
283M
31M
1,409M
610M
490M
0M
0M
36M
12M
63M
799M
1M
0M
983M
497M
191M
243M
25M
486M
460M
26M
-861M
113M
-401M
460M
-29M
1,159M
408M
285M
0M
0M
35M
7M
78M
751M
0M
0M
1,431M
331M
63M
6M
6M
1,100M
871M
1M
-272M
77M
606M
877M
592M
1,497M
130M
81M
0M
0M
25M
12M
7M
1,367M
4M
0M
979M
163M
91M
6M
6M
816M
607M
2M
518M
-33M
1,131M
612M
531M
Concept
Total Assets
Current Assets
Cash, Cash Equivalents & Short Term Investments
Cash & Equivalents
Other Short Term Investments
Receivables
Inventory
Other Current Assets
Total non-current assets
Property, Plant & Equipment
Long-Term Investments
Total Liabilities
Current Liabilities
Accounts Payable
Current Debt
Deferred Revenue
Total Non Current Liabilities Net Minority Interest
Long-Term Debt
Other Long-Term Liabilities
Common Stock Equity
Working Capital
Invested Capital
Total Debt
Net Debt
4Q2023
3Q2023
2Q2023
1Q2023
4Q2022
3Q2022
2Q2022
1Q2022
4Q2021
3Q2021
2Q2021
1Q2021
4Q2020
3Q2020
2Q2020
1,550M
246M
132M
0M
0M
58M
21M
34M
1,304M
0M
3M
963M
488M
258M
4M
35M
476M
265M
29M
105M
-242M
374M
285M
152M
1,385M
406M
269M
0M
0M
65M
22M
43M
980M
0M
6M
865M
454M
219M
3M
34M
411M
266M
30M
-120M
-49M
149M
285M
16M
1,325M
428M
306M
0M
0M
46M
28M
47M
897M
18M
0M
828M
429M
204M
3M
30M
399M
264M
21M
-293M
-1M
-27M
281M
-25M
1,228M
408M
303M
0M
0M
47M
24M
33M
820M
10M
0M
723M
431M
218M
3M
26M
292M
264M
13M
-397M
-23M
-130M
282M
-21M
1,151M
332M
252M
0M
0M
37M
13M
30M
820M
10M
0M
671M
378M
161M
3M
32M
293M
265M
13M
-383M
-46M
-115M
283M
31M
1,181M
364M
274M
0M
0M
40M
14M
25M
816M
17M
0M
701M
405M
165M
3M
34M
295M
265M
16M
-425M
-41M
-157M
282M
8M
1,223M
413M
288M
0M
0M
44M
21M
50M
810M
12M
0M
766M
473M
191M
3M
33M
293M
266M
17M
-426M
-60M
-157M
278M
-10M
1,274M
462M
314M
0M
0M
54M
18M
67M
812M
2M
0M
842M
540M
236M
3M
28M
302M
266M
27M
-875M
-78M
-606M
278M
-37M
1,409M
610M
490M
0M
0M
36M
12M
63M
799M
1M
0M
983M
497M
191M
243M
25M
486M
460M
26M
-861M
113M
-401M
460M
-29M
1,413M
656M
488M
0M
0M
54M
17M
91M
757M
1M
0M
1,716M
573M
206M
6M
21M
1,143M
898M
1M
-303M
83M
601M
904M
416M
1,407M
653M
461M
0M
0M
52M
22M
112M
754M
0M
0M
1,707M
576M
238M
6M
17M
1,132M
889M
0M
-300M
77M
596M
896M
435M
0M
440M
0M
0M
0M
37M
9M
76M
0M
0M
0M
0M
373M
101M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
1,159M
408M
285M
0M
0M
35M
7M
78M
751M
0M
0M
1,431M
331M
63M
6M
6M
1,100M
871M
1M
-272M
77M
606M
877M
592M
1,159M
408M
285M
0M
0M
35M
7M
80M
751M
0M
0M
871M
331M
63M
6M
6M
540M
0M
0M
-272M
0M
0M
877M
592M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M