Udemy 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
741M
594M
480M
0M
171M
93M
0M
21M
147M
0M
10M
384M
380M
3M
6M
279M
4M
0M
0M
357M
252M
357M
7M
-302M
738M
615M
465M
0M
152M
105M
30M
15M
123M
18M
12M
398M
387M
15M
7M
274M
11M
0M
0M
339M
228M
339M
14M
-300M
740M
642M
534M
0M
1M
73M
32M
3M
98M
10M
10M
348M
343M
35M
97M
208M
5M
0M
3M
392M
299M
392M
0M
-534M
282M
237M
175M
0M
0M
46M
15M
1M
45M
9M
0M
543M
264M
24M
97M
141M
279M
0M
4M
-261M
-27M
-261M
0M
-175M
117M
84M
49M
0M
0M
27M
7M
1M
33M
8M
0M
343M
184M
16M
80M
87M
159M
0M
3M
-226M
-100M
-226M
0M
-49M
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
741M
594M
480M
0M
171M
93M
0M
21M
147M
0M
10M
384M
380M
3M
6M
279M
4M
0M
0M
357M
252M
357M
7M
-302M
736M
622M
479M
0M
151M
83M
41M
18M
115M
0M
10M
391M
386M
6M
7M
280M
4M
0M
0M
346M
235M
346M
9M
-319M
722M
605M
466M
0M
142M
87M
39M
14M
117M
5M
10M
389M
384M
5M
7M
285M
5M
0M
0M
333M
222M
333M
10M
-313M
717M
595M
445M
0M
170M
96M
36M
17M
122M
6M
12M
392M
383M
11M
7M
276M
9M
0M
0M
325M
212M
325M
12M
-264M
738M
615M
465M
0M
152M
105M
30M
15M
123M
18M
12M
398M
387M
15M
7M
274M
11M
0M
0M
339M
228M
339M
14M
-300M
730M
608M
494M
0M
66M
72M
39M
3M
122M
8M
12M
374M
358M
17M
7M
238M
16M
0M
5M
357M
250M
357M
15M
-413M
746M
622M
513M
0M
0M
69M
37M
3M
124M
8M
15M
371M
354M
17M
7M
241M
17M
0M
4M
375M
268M
375M
17M
-495M
739M
617M
511M
0M
0M
68M
35M
3M
122M
10M
15M
358M
340M
16M
7M
228M
19M
0M
5M
381M
277M
381M
19M
-492M
740M
642M
534M
0M
1M
73M
32M
3M
98M
10M
10M
348M
343M
35M
97M
208M
5M
0M
3M
392M
299M
392M
0M
-534M
290M
206M
131M
0M
1M
41M
30M
4M
84M
11M
0M
557M
277M
26M
82M
166M
280M
0M
4M
-267M
-71M
-267M
0M
-130M
287M
234M
164M
0M
1M
43M
23M
4M
53M
11M
0M
553M
274M
25M
84M
163M
280M
0M
4M
-267M
-40M
-267M
0M
-163M
0M
234M
0M
0M
0M
43M
0M
21M
0M
11M
0M
0M
274M
25M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M
282M
237M
175M
0M
0M
46M
15M
1M
45M
9M
0M
543M
264M
24M
97M
141M
279M
0M
4M
-261M
-27M
-261M
0M
-175M
0M
237M
0M
0M
0M
46M
0M
11M
0M
9M
0M
0M
264M
24M
0M
0M
0M
0M
0M
0M
0M
0M
0M
0M