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Banzai International (BNZI)

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  • 3.471
  • +0.181+5.50%
Trading Jun 18 11:49 ET
7.45MMarket Cap-0.11P/E (TTM)

Banzai International (BNZI) Balance Sheet

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q1)Mar 31, 2026
(FY)Dec 31, 2025
(Q4)Dec 31, 2025
(Q3)Sep 30, 2025
(Q2)Jun 30, 2025
(Q1)Mar 31, 2025
(FY)Dec 31, 2024
(Q4)Dec 31, 2024
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments
-82.45%137K
-76.16%259.21K
-76.16%259.21K
-80.03%851.36K
377.78%2.25M
-23.97%780.76K
-48.06%1.09M
-48.06%1.09M
974.59%4.26M
11.47%471.75K
-Cash and cash equivalents
-82.45%137K
-76.16%259.21K
-76.16%259.21K
-80.03%851.36K
377.78%2.25M
-23.97%780.76K
-48.06%1.09M
-48.06%1.09M
974.59%4.26M
11.47%471.75K
Receivables
-33.78%681K
-22.95%722.07K
-22.95%722.07K
2,353.06%917.1K
3,428.34%923.05K
2,866.19%1.03M
792.08%937.12K
792.08%937.12K
-60.40%37.39K
-76.12%26.16K
-Accounts receivable
-35.04%668K
-24.26%709.2K
-24.26%709.2K
2,051.93%804.52K
2,994.23%809.48K
2,866.19%1.03M
791.32%936.32K
791.32%936.32K
-60.40%37.39K
-76.12%26.16K
-Other receivables
--13K
1,507.88%12.86K
1,507.88%12.86K
--112.58K
--113.57K
----
--800
--800
----
----
Prepaid assets
2.75%838K
-27.61%431.78K
-27.61%431.78K
-37.91%461.32K
-42.00%620.68K
-23.15%815.55K
-11.53%596.46K
-11.53%596.46K
649.16%743.03K
261.59%1.07M
Other current assets
-74.75%4K
-99.03%451
-99.03%451
198.10%31.95K
117.08%23.27K
24.85%15.84K
-30.72%46.41K
-30.72%46.41K
-75.71%10.72K
-88.16%10.72K
Total current assets
-37.13%1.66M
-47.01%1.41M
-47.01%1.41M
-55.25%2.26M
142.01%3.82M
23.65%2.64M
-9.27%2.67M
-9.27%2.67M
670.51%5.05M
64.57%1.58M
Non current assets
Net PPE
-37.01%49K
-15.75%64.12K
-15.75%64.12K
1,854.33%64.57K
48.81%71.8K
-16.71%77.79K
-45.11%76.1K
-45.11%76.1K
-98.20%3.3K
-78.90%48.25K
-Gross PPE
-55.36%49K
-35.86%68.65K
-35.86%68.65K
2,891.07%98.83K
117.50%104.95K
17.53%109.76K
-35.08%107.04K
-35.08%107.04K
-98.20%3.3K
-78.90%48.25K
-Accumulated depreciation
----
85.34%-4.54K
85.34%-4.54K
---34.25K
---33.15K
---31.97K
-17.97%-30.94K
-17.97%-30.94K
----
----
Goodwill and other intangible assets
-3.88%29.73M
31.34%30.02M
31.34%30.02M
1,296.43%30.32M
1,310.42%30.63M
1,324.25%30.93M
952.55%22.86M
952.55%22.86M
0.00%2.17M
0.00%2.17M
-Goodwill
0.00%21.99M
15.91%21.99M
15.91%21.99M
912.73%21.99M
912.73%21.99M
912.73%21.99M
773.69%18.97M
773.69%18.97M
0.00%2.17M
0.00%2.17M
-Other intangible assets
-13.42%7.74M
106.69%8.03M
106.69%8.03M
--8.33M
--8.64M
--8.94M
--3.88M
--3.88M
----
----
Financial assets
--0
-85.71%9K
-85.71%9K
-79.55%9K
--1K
--20K
--63K
--63K
--44K
----
Non current deferred assets
--32K
--121.79K
--121.79K
--313.4K
--140.64K
----
--0
--0
----
----
Other non current assets
-71.40%4K
-64.14%4K
-64.14%4K
-63.57%13.98K
-63.57%13.98K
-63.57%13.98K
-70.94%11.15K
-70.94%11.15K
0.00%38.38K
0.00%38.38K
Total non current assets
-3.95%29.81M
31.35%30.22M
31.35%30.22M
1,261.18%30.72M
1,266.38%30.85M
1,247.62%31.04M
879.60%23.01M
879.60%23.01M
-51.82%2.26M
-48.58%2.26M
Total assets
-6.55%31.47M
23.20%31.63M
23.20%31.63M
351.13%32.99M
803.72%34.68M
658.77%33.68M
385.47%25.67M
385.47%25.67M
36.90%7.31M
-28.29%3.84M
Liabilities
Current liabilities
Payables
-9.90%3.37M
-65.58%2.97M
-65.58%2.97M
-74.10%2.8M
-60.15%4.02M
-58.35%3.73M
22.43%8.63M
22.43%8.63M
299.37%10.8M
287.73%10.08M
-accounts payable
4.97%2.97M
-67.95%2.49M
-67.95%2.49M
-79.81%2.02M
-67.17%3.1M
-66.05%2.83M
20.85%7.78M
20.85%7.78M
317.98%10.02M
306.63%9.43M
-Total tax payable
-46.56%394K
-29.85%474.39K
-29.85%474.39K
15.26%705.97K
28.67%756.07K
31.16%737.25K
25.55%676.23K
25.55%676.23K
99.57%612.49K
108.46%587.6K
-Due to related parties current
----
--0
--0
-59.84%67.12K
148.99%167.12K
148.99%167.12K
148.99%167.12K
148.99%167.12K
--167.12K
--67.12K
Current accrued expenses
7.66%2.96M
1.18%3.08M
1.18%3.08M
-15.90%2.62M
-13.67%2.89M
-8.81%2.75M
-32.50%3.04M
-32.50%3.04M
1,179.36%3.12M
5,961.07%3.35M
Current debt and capital lease obligation
-37.40%9.87M
-14.93%10.59M
-14.93%10.59M
34.76%14.39M
-2.44%15.79M
-7.09%15.76M
-24.07%12.45M
-24.07%12.45M
-48.30%10.68M
-8.26%16.18M
-Current debt
-37.50%9.84M
-14.96%10.57M
-14.96%10.57M
34.56%14.36M
-2.09%15.76M
-6.35%15.74M
-23.11%12.43M
-23.11%12.43M
-47.54%10.67M
-7.15%16.1M
-Current capital lease obligation
27.74%30K
0.40%22.82K
0.40%22.82K
964.88%25.05K
-70.32%24.25K
-85.23%23.49K
-90.29%22.73K
-90.29%22.73K
-99.23%2.35K
-72.63%81.71K
Current deferred liabilities
-15.09%4.12M
7.26%4.22M
7.26%4.22M
-18.91%4.23M
-12.91%4.64M
-7.61%4.85M
-31.14%3.93M
-31.14%3.93M
485.92%5.22M
452.93%5.32M
Other current liabilities
-12.37%1.91M
635.87%1.51M
635.87%1.51M
637.25%2.01M
333.71%2.91M
114.05%2.18M
-94.01%205.31K
-94.01%205.31K
-97.75%272.39K
-95.40%670.84K
Current liabilities
-24.11%22.22M
-20.84%22.37M
-20.84%22.37M
-13.42%26.05M
-15.07%30.24M
-16.86%29.27M
-23.81%28.26M
-23.81%28.26M
-17.73%30.08M
-0.63%35.61M
Non current liabilities
Long term debt and capital lease obligation
-56.59%19K
-32.12%33.92K
-32.12%33.92K
--30.92K
--37.41K
--43.77K
--49.97K
--49.97K
----
----
-Long term capital lease obligation
-56.59%19K
-32.12%33.92K
-32.12%33.92K
--30.92K
--37.41K
--43.77K
--49.97K
--49.97K
----
----
Non current deferred liabilities
-19.54%1.14M
817.19%1.17M
817.19%1.17M
--1.47M
--1.24M
--1.42M
--127.76K
--127.76K
----
----
Other non current liabilities
----
----
----
----
----
----
----
----
0.00%75K
-54.30%75K
Total non current liabilities
-20.64%1.16M
578.38%1.21M
578.38%1.21M
1,900.47%1.5M
1,597.81%1.27M
1,852.35%1.46M
136.98%177.73K
136.98%177.73K
-98.83%75K
-98.86%75K
Total liabilities
-23.94%23.38M
-17.09%23.58M
-17.09%23.58M
-8.66%27.55M
-11.68%31.52M
-12.89%30.74M
-23.48%28.44M
-23.48%28.44M
-29.81%30.16M
-15.84%35.69M
Shareholders'equity
Share capital
--0
1,186.59%1.06K
1,186.59%1.06K
26.10%517
-93.37%245
-28.29%1.45K
-68.34%82
-68.34%82
-49.82%410
352.26%3.7K
-common stock
--0
1,186.59%1.06K
1,186.59%1.06K
26.10%517
-93.37%245
-28.29%1.45K
-68.34%82
-68.34%82
-49.82%410
352.26%3.7K
-Preferred stock
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Retained earnings
-33.28%-109.19M
-28.73%-100.77M
-28.73%-100.77M
-35.94%-95.74M
-61.85%-89.72M
-59.80%-81.92M
-67.38%-78.28M
-67.38%-78.28M
-74.35%-70.43M
-39.90%-55.43M
Paid-in capital
38.27%117.35M
44.22%108.91M
44.22%108.91M
112.82%101.26M
293.89%92.88M
315.56%84.87M
407.16%75.52M
407.16%75.52M
1,617.15%47.58M
816.34%23.58M
Gains losses not affecting retained earnings
---60K
---85.38K
---85.38K
---81.37K
----
----
--0
--0
----
----
Total stockholders'equity
174.95%8.1M
391.45%8.06M
391.45%8.06M
123.81%5.44M
109.92%3.16M
109.55%2.94M
91.33%-2.76M
91.33%-2.76M
39.28%-22.85M
14.04%-31.85M
Total equity
174.95%8.1M
391.45%8.06M
391.45%8.06M
123.81%5.44M
109.92%3.16M
109.55%2.94M
91.33%-2.76M
91.33%-2.76M
39.28%-22.85M
14.04%-31.85M
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion with Explanatory Notes
--
--
--
(Q1)Mar 31, 2026(FY)Dec 31, 2025(Q4)Dec 31, 2025(Q3)Sep 30, 2025(Q2)Jun 30, 2025(Q1)Mar 31, 2025(FY)Dec 31, 2024(Q4)Dec 31, 2024(Q3)Sep 30, 2024(Q2)Jun 30, 2024
Assets
Current assets
Cash, cash equivalents and short term investments -82.45%137K-76.16%259.21K-76.16%259.21K-80.03%851.36K377.78%2.25M-23.97%780.76K-48.06%1.09M-48.06%1.09M974.59%4.26M11.47%471.75K
-Cash and cash equivalents -82.45%137K-76.16%259.21K-76.16%259.21K-80.03%851.36K377.78%2.25M-23.97%780.76K-48.06%1.09M-48.06%1.09M974.59%4.26M11.47%471.75K
Receivables -33.78%681K-22.95%722.07K-22.95%722.07K2,353.06%917.1K3,428.34%923.05K2,866.19%1.03M792.08%937.12K792.08%937.12K-60.40%37.39K-76.12%26.16K
-Accounts receivable -35.04%668K-24.26%709.2K-24.26%709.2K2,051.93%804.52K2,994.23%809.48K2,866.19%1.03M791.32%936.32K791.32%936.32K-60.40%37.39K-76.12%26.16K
-Other receivables --13K1,507.88%12.86K1,507.88%12.86K--112.58K--113.57K------800--800--------
Prepaid assets 2.75%838K-27.61%431.78K-27.61%431.78K-37.91%461.32K-42.00%620.68K-23.15%815.55K-11.53%596.46K-11.53%596.46K649.16%743.03K261.59%1.07M
Other current assets -74.75%4K-99.03%451-99.03%451198.10%31.95K117.08%23.27K24.85%15.84K-30.72%46.41K-30.72%46.41K-75.71%10.72K-88.16%10.72K
Total current assets -37.13%1.66M-47.01%1.41M-47.01%1.41M-55.25%2.26M142.01%3.82M23.65%2.64M-9.27%2.67M-9.27%2.67M670.51%5.05M64.57%1.58M
Non current assets
Net PPE -37.01%49K-15.75%64.12K-15.75%64.12K1,854.33%64.57K48.81%71.8K-16.71%77.79K-45.11%76.1K-45.11%76.1K-98.20%3.3K-78.90%48.25K
-Gross PPE -55.36%49K-35.86%68.65K-35.86%68.65K2,891.07%98.83K117.50%104.95K17.53%109.76K-35.08%107.04K-35.08%107.04K-98.20%3.3K-78.90%48.25K
-Accumulated depreciation ----85.34%-4.54K85.34%-4.54K---34.25K---33.15K---31.97K-17.97%-30.94K-17.97%-30.94K--------
Goodwill and other intangible assets -3.88%29.73M31.34%30.02M31.34%30.02M1,296.43%30.32M1,310.42%30.63M1,324.25%30.93M952.55%22.86M952.55%22.86M0.00%2.17M0.00%2.17M
-Goodwill 0.00%21.99M15.91%21.99M15.91%21.99M912.73%21.99M912.73%21.99M912.73%21.99M773.69%18.97M773.69%18.97M0.00%2.17M0.00%2.17M
-Other intangible assets -13.42%7.74M106.69%8.03M106.69%8.03M--8.33M--8.64M--8.94M--3.88M--3.88M--------
Financial assets --0-85.71%9K-85.71%9K-79.55%9K--1K--20K--63K--63K--44K----
Non current deferred assets --32K--121.79K--121.79K--313.4K--140.64K------0--0--------
Other non current assets -71.40%4K-64.14%4K-64.14%4K-63.57%13.98K-63.57%13.98K-63.57%13.98K-70.94%11.15K-70.94%11.15K0.00%38.38K0.00%38.38K
Total non current assets -3.95%29.81M31.35%30.22M31.35%30.22M1,261.18%30.72M1,266.38%30.85M1,247.62%31.04M879.60%23.01M879.60%23.01M-51.82%2.26M-48.58%2.26M
Total assets -6.55%31.47M23.20%31.63M23.20%31.63M351.13%32.99M803.72%34.68M658.77%33.68M385.47%25.67M385.47%25.67M36.90%7.31M-28.29%3.84M
Liabilities
Current liabilities
Payables -9.90%3.37M-65.58%2.97M-65.58%2.97M-74.10%2.8M-60.15%4.02M-58.35%3.73M22.43%8.63M22.43%8.63M299.37%10.8M287.73%10.08M
-accounts payable 4.97%2.97M-67.95%2.49M-67.95%2.49M-79.81%2.02M-67.17%3.1M-66.05%2.83M20.85%7.78M20.85%7.78M317.98%10.02M306.63%9.43M
-Total tax payable -46.56%394K-29.85%474.39K-29.85%474.39K15.26%705.97K28.67%756.07K31.16%737.25K25.55%676.23K25.55%676.23K99.57%612.49K108.46%587.6K
-Due to related parties current ------0--0-59.84%67.12K148.99%167.12K148.99%167.12K148.99%167.12K148.99%167.12K--167.12K--67.12K
Current accrued expenses 7.66%2.96M1.18%3.08M1.18%3.08M-15.90%2.62M-13.67%2.89M-8.81%2.75M-32.50%3.04M-32.50%3.04M1,179.36%3.12M5,961.07%3.35M
Current debt and capital lease obligation -37.40%9.87M-14.93%10.59M-14.93%10.59M34.76%14.39M-2.44%15.79M-7.09%15.76M-24.07%12.45M-24.07%12.45M-48.30%10.68M-8.26%16.18M
-Current debt -37.50%9.84M-14.96%10.57M-14.96%10.57M34.56%14.36M-2.09%15.76M-6.35%15.74M-23.11%12.43M-23.11%12.43M-47.54%10.67M-7.15%16.1M
-Current capital lease obligation 27.74%30K0.40%22.82K0.40%22.82K964.88%25.05K-70.32%24.25K-85.23%23.49K-90.29%22.73K-90.29%22.73K-99.23%2.35K-72.63%81.71K
Current deferred liabilities -15.09%4.12M7.26%4.22M7.26%4.22M-18.91%4.23M-12.91%4.64M-7.61%4.85M-31.14%3.93M-31.14%3.93M485.92%5.22M452.93%5.32M
Other current liabilities -12.37%1.91M635.87%1.51M635.87%1.51M637.25%2.01M333.71%2.91M114.05%2.18M-94.01%205.31K-94.01%205.31K-97.75%272.39K-95.40%670.84K
Current liabilities -24.11%22.22M-20.84%22.37M-20.84%22.37M-13.42%26.05M-15.07%30.24M-16.86%29.27M-23.81%28.26M-23.81%28.26M-17.73%30.08M-0.63%35.61M
Non current liabilities
Long term debt and capital lease obligation -56.59%19K-32.12%33.92K-32.12%33.92K--30.92K--37.41K--43.77K--49.97K--49.97K--------
-Long term capital lease obligation -56.59%19K-32.12%33.92K-32.12%33.92K--30.92K--37.41K--43.77K--49.97K--49.97K--------
Non current deferred liabilities -19.54%1.14M817.19%1.17M817.19%1.17M--1.47M--1.24M--1.42M--127.76K--127.76K--------
Other non current liabilities --------------------------------0.00%75K-54.30%75K
Total non current liabilities -20.64%1.16M578.38%1.21M578.38%1.21M1,900.47%1.5M1,597.81%1.27M1,852.35%1.46M136.98%177.73K136.98%177.73K-98.83%75K-98.86%75K
Total liabilities -23.94%23.38M-17.09%23.58M-17.09%23.58M-8.66%27.55M-11.68%31.52M-12.89%30.74M-23.48%28.44M-23.48%28.44M-29.81%30.16M-15.84%35.69M
Shareholders'equity
Share capital --01,186.59%1.06K1,186.59%1.06K26.10%517-93.37%245-28.29%1.45K-68.34%82-68.34%82-49.82%410352.26%3.7K
-common stock --01,186.59%1.06K1,186.59%1.06K26.10%517-93.37%245-28.29%1.45K-68.34%82-68.34%82-49.82%410352.26%3.7K
-Preferred stock --0--0--0--0--0--0--0--0--0--0
Retained earnings -33.28%-109.19M-28.73%-100.77M-28.73%-100.77M-35.94%-95.74M-61.85%-89.72M-59.80%-81.92M-67.38%-78.28M-67.38%-78.28M-74.35%-70.43M-39.90%-55.43M
Paid-in capital 38.27%117.35M44.22%108.91M44.22%108.91M112.82%101.26M293.89%92.88M315.56%84.87M407.16%75.52M407.16%75.52M1,617.15%47.58M816.34%23.58M
Gains losses not affecting retained earnings ---60K---85.38K---85.38K---81.37K----------0--0--------
Total stockholders'equity 174.95%8.1M391.45%8.06M391.45%8.06M123.81%5.44M109.92%3.16M109.55%2.94M91.33%-2.76M91.33%-2.76M39.28%-22.85M14.04%-31.85M
Total equity 174.95%8.1M391.45%8.06M391.45%8.06M123.81%5.44M109.92%3.16M109.55%2.94M91.33%-2.76M91.33%-2.76M39.28%-22.85M14.04%-31.85M
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion with Explanatory Notes--------Unqualified Opinion with Explanatory Notes------
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