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nVent Electric (NVT)

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  • 169.420
  • -4.540-2.61%
Trading May 15 15:03 ET
27.40BMarket Cap56.10P/E (TTM)

nVent Electric (NVT) 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
-85.85%190M
81.02%237.5M
81.02%237.5M
-7.44%126.9M
-54.09%125.8M
535.29%1.34B
-26.95%131.2M
-26.95%131.2M
21.01%137.1M
97.83%274M
-Cash and cash equivalents
-85.85%190M
81.02%237.5M
81.02%237.5M
-7.44%126.9M
-54.09%125.8M
535.29%1.34B
-26.95%131.2M
-26.95%131.2M
21.01%137.1M
97.83%274M
Receivables
67.42%1.02B
61.70%853.8M
61.70%853.8M
53.71%883.7M
42.75%878.2M
-5.23%607.1M
9.14%528M
9.14%528M
-9.48%574.9M
4.41%615.2M
-Accounts receivable
51.02%828.5M
46.48%693M
46.48%693M
36.54%718.2M
28.46%733.1M
-7.25%548.6M
0.62%473.1M
0.62%473.1M
-10.98%526M
4.43%570.7M
-Other receivables
221.20%187.9M
192.90%160.8M
192.90%160.8M
238.45%165.5M
226.07%145.1M
19.14%58.5M
303.68%54.9M
303.68%54.9M
10.63%48.9M
4.22%44.5M
Inventory
36.83%512M
30.97%471.9M
30.97%471.9M
24.30%455.2M
-6.77%415.6M
-15.17%374.2M
0.03%360.3M
0.03%360.3M
-21.23%366.2M
-6.21%445.8M
Prepaid assets
22.17%51.8M
8.67%58.9M
8.67%58.9M
-27.89%48.1M
-27.64%47.9M
-23.47%42.4M
26.05%54.2M
26.05%54.2M
-18.96%66.7M
-12.20%66.2M
Other current assets
15.29%18.1M
18.24%17.5M
18.24%17.5M
-1.16%17.1M
-20.47%17.1M
-38.19%15.7M
-6.92%14.8M
-6.92%14.8M
302.33%17.3M
21.47%21.5M
Total current assets
-24.94%1.79B
18.02%1.64B
18.02%1.64B
7.92%1.53B
4.35%1.48B
73.40%2.38B
3.98%1.39B
3.98%1.39B
9.14%1.42B
9.77%1.42B
Non current assets
Net PPE
26.19%572.9M
23.73%563.1M
23.73%563.1M
20.26%532.5M
3.92%522.4M
-10.12%454M
8.49%455.1M
8.49%455.1M
-4.71%442.8M
5.88%502.7M
-Gross PPE
19.11%1.11B
19.06%1.09B
19.06%1.09B
15.32%1.05B
0.55%1.03B
-7.71%935.6M
6.80%918.6M
6.80%918.6M
-3.89%911.3M
5.88%1.02B
-Accumulated depreciation
-12.44%-541.5M
-14.48%-530.6M
-14.48%-530.6M
-10.65%-518.4M
2.72%-503.7M
5.33%-481.6M
-5.20%-463.5M
-5.20%-463.5M
3.10%-468.5M
-5.89%-517.8M
Goodwill and other intangible assets
19.14%4.51B
19.58%4.55B
19.58%4.55B
19.36%4.6B
14.88%4.63B
-6.77%3.79B
18.71%3.81B
18.71%3.81B
-6.05%3.85B
-1.41%4.03B
-Goodwill
20.09%2.68B
20.53%2.68B
20.53%2.68B
20.02%2.68B
4.28%2.68B
-13.35%2.23B
19.57%2.22B
19.57%2.22B
-12.81%2.23B
1.00%2.57B
-Other intangible assets
17.78%1.83B
18.24%1.88B
18.24%1.88B
18.45%1.92B
33.48%1.95B
4.57%1.56B
17.51%1.59B
17.51%1.59B
5.19%1.62B
-5.36%1.46B
Non current deferred assets
-8.34%65.9M
-9.53%65.5M
-9.53%65.5M
-57.70%76.9M
-63.79%72.2M
-63.80%71.9M
-59.44%72.4M
-59.44%72.4M
426.96%181.8M
469.71%199.4M
Other non current assets
-24.77%24.3M
-97.11%29.2M
-97.11%29.2M
-97.11%29.6M
-3.33%29M
3.19%32.3M
-0.95%1.01B
-0.95%1.01B
3,507.04%1.02B
18.11%30M
Total non current assets
19.09%5.17B
-2.49%5.21B
-2.49%5.21B
-4.81%5.23B
10.32%5.26B
-9.42%4.34B
10.78%5.35B
10.78%5.35B
18.88%5.5B
3.01%4.77B
Total assets
3.50%6.96B
1.74%6.85B
1.74%6.85B
-2.20%6.77B
8.95%6.74B
9.02%6.73B
9.30%6.73B
9.30%6.73B
16.75%6.92B
4.49%6.19B
Liabilities
Current liabilities
Payables
-0.19%524.9M
23.44%450.2M
23.44%450.2M
38.51%441M
30.46%447.6M
54.63%525.9M
16.11%364.7M
16.11%364.7M
5.57%318.4M
14.75%343.1M
-accounts payable
49.49%422M
28.13%358.9M
28.13%358.9M
39.98%340.7M
16.61%310.3M
7.26%282.3M
16.81%280.1M
16.81%280.1M
0.00%243.4M
10.28%266.1M
-Total tax payable
-67.32%68.7M
11.83%56.7M
11.83%56.7M
57.34%67.5M
134.00%104.6M
369.20%210.2M
21.58%50.7M
21.58%50.7M
52.67%42.9M
60.79%44.7M
-Dividends payable
2.40%34.2M
2.06%34.6M
2.06%34.6M
2.18%32.8M
1.24%32.7M
4.05%33.4M
3.99%33.9M
3.99%33.9M
6.64%32.1M
8.03%32.3M
Current accrued expenses
25.67%113.1M
25.06%101.3M
25.06%101.3M
15.60%105.2M
5.62%77.1M
-12.11%90M
-14.47%81M
-14.47%81M
-12.08%91M
-9.32%73M
Current debt and capital lease obligation
16.84%45.8M
-26.38%44.1M
-26.38%44.1M
-27.76%43.2M
-34.81%41.2M
-35.21%39.2M
16.54%59.9M
16.54%59.9M
13.26%59.8M
19.92%63.2M
-Current debt
-8.00%13.8M
-63.20%13.8M
-63.20%13.8M
-63.20%13.8M
-61.24%13.8M
-55.62%15M
17.55%37.5M
17.55%37.5M
25.00%37.5M
18.67%35.6M
-Current capital lease obligation
32.23%32M
35.27%30.3M
35.27%30.3M
31.84%29.4M
-0.72%27.4M
-9.36%24.2M
14.87%22.4M
14.87%22.4M
-2.19%22.3M
21.59%27.6M
Current deferred liabilities
583.88%165.5M
685.78%176.8M
685.78%176.8M
665.49%173M
652.60%144.5M
-4.72%24.2M
181.25%22.5M
181.25%22.5M
20.86%22.6M
-17.95%19.2M
Other current liabilities
43.39%100.8M
-58.26%74.5M
-58.26%74.5M
-59.97%75.7M
15.97%71.9M
5.56%70.3M
9.71%178.5M
9.71%178.5M
177.68%189.1M
-5.92%62M
Current liabilities
26.91%1.06B
25.19%1B
25.19%1B
25.30%972.6M
36.00%889.6M
20.43%831.3M
9.27%801.6M
9.27%801.6M
17.71%776.2M
5.40%654.1M
Non current liabilities
Long term debt and capital lease obligation
-10.04%1.65B
-25.23%1.65B
-25.23%1.65B
-26.98%1.69B
1.69%1.86B
-0.24%1.84B
20.42%2.21B
20.42%2.21B
21.20%2.31B
-9.48%1.83B
-Long term debt
-11.74%1.54B
-26.99%1.55B
-26.99%1.55B
-28.87%1.58B
1.24%1.75B
0.48%1.75B
21.08%2.12B
21.08%2.12B
21.25%2.22B
-10.74%1.73B
-Long term capital lease obligation
23.80%108.7M
15.77%105M
15.77%105M
19.62%107.9M
9.69%105.3M
-12.64%87.8M
6.83%90.7M
6.83%90.7M
19.95%90.2M
21.37%96M
Non current deferred liabilities
0.56%250.8M
-2.83%250.8M
-2.83%250.8M
-11.50%247.8M
10.78%247.6M
12.19%249.4M
27.33%258.1M
27.33%258.1M
18.95%280M
0.18%223.5M
Employee benefits
-2.57%132.9M
2.96%135.6M
2.96%135.6M
5.85%148.3M
1.23%148M
-8.52%136.4M
-6.20%131.7M
-6.20%131.7M
6.06%140.1M
7.58%146.2M
Derivative product liabilities
--29.8M
336.90%36.7M
336.90%36.7M
----
----
----
--8.4M
--8.4M
----
----
Other non current liabilities
-24.34%34.5M
6.62%33.8M
6.62%33.8M
30.93%69M
187.19%69.5M
67.03%45.6M
-4.80%31.7M
-4.80%31.7M
180.32%52.7M
13.62%24.2M
Total non current liabilities
-7.41%2.11B
-21.42%2.12B
-21.42%2.12B
-24.28%2.16B
3.88%2.33B
0.52%2.28B
17.92%2.7B
17.92%2.7B
23.13%2.86B
-7.40%2.25B
Total liabilities
1.77%3.17B
-10.74%3.12B
-10.74%3.12B
-13.69%3.14B
11.13%3.22B
5.17%3.11B
15.82%3.5B
15.82%3.5B
21.93%3.63B
-4.80%2.9B
Shareholders'equity
Share capital
0.00%1.6M
-5.88%1.6M
-5.88%1.6M
-5.88%1.6M
-5.88%1.6M
-5.88%1.6M
0.00%1.7M
0.00%1.7M
0.00%1.7M
0.00%1.7M
-common stock
0.00%1.6M
-5.88%1.6M
-5.88%1.6M
-5.88%1.6M
-5.88%1.6M
-5.88%1.6M
0.00%1.7M
0.00%1.7M
0.00%1.7M
0.00%1.7M
Retained earnings
25.05%1.8B
52.22%1.69B
52.22%1.69B
41.70%1.6B
43.17%1.51B
46.79%1.44B
22.46%1.11B
22.46%1.11B
65.87%1.13B
74.65%1.06B
Paid-in capital
-8.82%2.03B
-8.78%2.07B
-8.78%2.07B
-8.95%2.06B
-13.32%2.04B
-5.18%2.22B
-2.88%2.27B
-2.88%2.27B
-4.96%2.26B
-0.78%2.35B
Gains losses not affecting retained earnings
37.64%-28M
78.39%-31.2M
78.39%-31.2M
69.56%-33.3M
71.74%-34.5M
60.12%-44.9M
-38.85%-144.4M
-38.85%-144.4M
6.26%-109.4M
-21.25%-122.1M
Total stockholders'equity
4.99%3.8B
15.21%3.73B
15.21%3.73B
10.52%3.63B
7.02%3.52B
12.57%3.62B
3.04%3.24B
3.04%3.24B
11.50%3.28B
14.33%3.29B
Total equity
4.99%3.8B
15.21%3.73B
15.21%3.73B
10.52%3.63B
7.02%3.52B
12.57%3.62B
3.04%3.24B
3.04%3.24B
11.50%3.28B
14.33%3.29B
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
--
--
--
--
Unqualified Opinion
--
--
--
(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 -85.85%190M81.02%237.5M81.02%237.5M-7.44%126.9M-54.09%125.8M535.29%1.34B-26.95%131.2M-26.95%131.2M21.01%137.1M97.83%274M
-Cash and cash equivalents -85.85%190M81.02%237.5M81.02%237.5M-7.44%126.9M-54.09%125.8M535.29%1.34B-26.95%131.2M-26.95%131.2M21.01%137.1M97.83%274M
Receivables 67.42%1.02B61.70%853.8M61.70%853.8M53.71%883.7M42.75%878.2M-5.23%607.1M9.14%528M9.14%528M-9.48%574.9M4.41%615.2M
-Accounts receivable 51.02%828.5M46.48%693M46.48%693M36.54%718.2M28.46%733.1M-7.25%548.6M0.62%473.1M0.62%473.1M-10.98%526M4.43%570.7M
-Other receivables 221.20%187.9M192.90%160.8M192.90%160.8M238.45%165.5M226.07%145.1M19.14%58.5M303.68%54.9M303.68%54.9M10.63%48.9M4.22%44.5M
Inventory 36.83%512M30.97%471.9M30.97%471.9M24.30%455.2M-6.77%415.6M-15.17%374.2M0.03%360.3M0.03%360.3M-21.23%366.2M-6.21%445.8M
Prepaid assets 22.17%51.8M8.67%58.9M8.67%58.9M-27.89%48.1M-27.64%47.9M-23.47%42.4M26.05%54.2M26.05%54.2M-18.96%66.7M-12.20%66.2M
Other current assets 15.29%18.1M18.24%17.5M18.24%17.5M-1.16%17.1M-20.47%17.1M-38.19%15.7M-6.92%14.8M-6.92%14.8M302.33%17.3M21.47%21.5M
Total current assets -24.94%1.79B18.02%1.64B18.02%1.64B7.92%1.53B4.35%1.48B73.40%2.38B3.98%1.39B3.98%1.39B9.14%1.42B9.77%1.42B
Non current assets
Net PPE 26.19%572.9M23.73%563.1M23.73%563.1M20.26%532.5M3.92%522.4M-10.12%454M8.49%455.1M8.49%455.1M-4.71%442.8M5.88%502.7M
-Gross PPE 19.11%1.11B19.06%1.09B19.06%1.09B15.32%1.05B0.55%1.03B-7.71%935.6M6.80%918.6M6.80%918.6M-3.89%911.3M5.88%1.02B
-Accumulated depreciation -12.44%-541.5M-14.48%-530.6M-14.48%-530.6M-10.65%-518.4M2.72%-503.7M5.33%-481.6M-5.20%-463.5M-5.20%-463.5M3.10%-468.5M-5.89%-517.8M
Goodwill and other intangible assets 19.14%4.51B19.58%4.55B19.58%4.55B19.36%4.6B14.88%4.63B-6.77%3.79B18.71%3.81B18.71%3.81B-6.05%3.85B-1.41%4.03B
-Goodwill 20.09%2.68B20.53%2.68B20.53%2.68B20.02%2.68B4.28%2.68B-13.35%2.23B19.57%2.22B19.57%2.22B-12.81%2.23B1.00%2.57B
-Other intangible assets 17.78%1.83B18.24%1.88B18.24%1.88B18.45%1.92B33.48%1.95B4.57%1.56B17.51%1.59B17.51%1.59B5.19%1.62B-5.36%1.46B
Non current deferred assets -8.34%65.9M-9.53%65.5M-9.53%65.5M-57.70%76.9M-63.79%72.2M-63.80%71.9M-59.44%72.4M-59.44%72.4M426.96%181.8M469.71%199.4M
Other non current assets -24.77%24.3M-97.11%29.2M-97.11%29.2M-97.11%29.6M-3.33%29M3.19%32.3M-0.95%1.01B-0.95%1.01B3,507.04%1.02B18.11%30M
Total non current assets 19.09%5.17B-2.49%5.21B-2.49%5.21B-4.81%5.23B10.32%5.26B-9.42%4.34B10.78%5.35B10.78%5.35B18.88%5.5B3.01%4.77B
Total assets 3.50%6.96B1.74%6.85B1.74%6.85B-2.20%6.77B8.95%6.74B9.02%6.73B9.30%6.73B9.30%6.73B16.75%6.92B4.49%6.19B
Liabilities
Current liabilities
Payables -0.19%524.9M23.44%450.2M23.44%450.2M38.51%441M30.46%447.6M54.63%525.9M16.11%364.7M16.11%364.7M5.57%318.4M14.75%343.1M
-accounts payable 49.49%422M28.13%358.9M28.13%358.9M39.98%340.7M16.61%310.3M7.26%282.3M16.81%280.1M16.81%280.1M0.00%243.4M10.28%266.1M
-Total tax payable -67.32%68.7M11.83%56.7M11.83%56.7M57.34%67.5M134.00%104.6M369.20%210.2M21.58%50.7M21.58%50.7M52.67%42.9M60.79%44.7M
-Dividends payable 2.40%34.2M2.06%34.6M2.06%34.6M2.18%32.8M1.24%32.7M4.05%33.4M3.99%33.9M3.99%33.9M6.64%32.1M8.03%32.3M
Current accrued expenses 25.67%113.1M25.06%101.3M25.06%101.3M15.60%105.2M5.62%77.1M-12.11%90M-14.47%81M-14.47%81M-12.08%91M-9.32%73M
Current debt and capital lease obligation 16.84%45.8M-26.38%44.1M-26.38%44.1M-27.76%43.2M-34.81%41.2M-35.21%39.2M16.54%59.9M16.54%59.9M13.26%59.8M19.92%63.2M
-Current debt -8.00%13.8M-63.20%13.8M-63.20%13.8M-63.20%13.8M-61.24%13.8M-55.62%15M17.55%37.5M17.55%37.5M25.00%37.5M18.67%35.6M
-Current capital lease obligation 32.23%32M35.27%30.3M35.27%30.3M31.84%29.4M-0.72%27.4M-9.36%24.2M14.87%22.4M14.87%22.4M-2.19%22.3M21.59%27.6M
Current deferred liabilities 583.88%165.5M685.78%176.8M685.78%176.8M665.49%173M652.60%144.5M-4.72%24.2M181.25%22.5M181.25%22.5M20.86%22.6M-17.95%19.2M
Other current liabilities 43.39%100.8M-58.26%74.5M-58.26%74.5M-59.97%75.7M15.97%71.9M5.56%70.3M9.71%178.5M9.71%178.5M177.68%189.1M-5.92%62M
Current liabilities 26.91%1.06B25.19%1B25.19%1B25.30%972.6M36.00%889.6M20.43%831.3M9.27%801.6M9.27%801.6M17.71%776.2M5.40%654.1M
Non current liabilities
Long term debt and capital lease obligation -10.04%1.65B-25.23%1.65B-25.23%1.65B-26.98%1.69B1.69%1.86B-0.24%1.84B20.42%2.21B20.42%2.21B21.20%2.31B-9.48%1.83B
-Long term debt -11.74%1.54B-26.99%1.55B-26.99%1.55B-28.87%1.58B1.24%1.75B0.48%1.75B21.08%2.12B21.08%2.12B21.25%2.22B-10.74%1.73B
-Long term capital lease obligation 23.80%108.7M15.77%105M15.77%105M19.62%107.9M9.69%105.3M-12.64%87.8M6.83%90.7M6.83%90.7M19.95%90.2M21.37%96M
Non current deferred liabilities 0.56%250.8M-2.83%250.8M-2.83%250.8M-11.50%247.8M10.78%247.6M12.19%249.4M27.33%258.1M27.33%258.1M18.95%280M0.18%223.5M
Employee benefits -2.57%132.9M2.96%135.6M2.96%135.6M5.85%148.3M1.23%148M-8.52%136.4M-6.20%131.7M-6.20%131.7M6.06%140.1M7.58%146.2M
Derivative product liabilities --29.8M336.90%36.7M336.90%36.7M--------------8.4M--8.4M--------
Other non current liabilities -24.34%34.5M6.62%33.8M6.62%33.8M30.93%69M187.19%69.5M67.03%45.6M-4.80%31.7M-4.80%31.7M180.32%52.7M13.62%24.2M
Total non current liabilities -7.41%2.11B-21.42%2.12B-21.42%2.12B-24.28%2.16B3.88%2.33B0.52%2.28B17.92%2.7B17.92%2.7B23.13%2.86B-7.40%2.25B
Total liabilities 1.77%3.17B-10.74%3.12B-10.74%3.12B-13.69%3.14B11.13%3.22B5.17%3.11B15.82%3.5B15.82%3.5B21.93%3.63B-4.80%2.9B
Shareholders'equity
Share capital 0.00%1.6M-5.88%1.6M-5.88%1.6M-5.88%1.6M-5.88%1.6M-5.88%1.6M0.00%1.7M0.00%1.7M0.00%1.7M0.00%1.7M
-common stock 0.00%1.6M-5.88%1.6M-5.88%1.6M-5.88%1.6M-5.88%1.6M-5.88%1.6M0.00%1.7M0.00%1.7M0.00%1.7M0.00%1.7M
Retained earnings 25.05%1.8B52.22%1.69B52.22%1.69B41.70%1.6B43.17%1.51B46.79%1.44B22.46%1.11B22.46%1.11B65.87%1.13B74.65%1.06B
Paid-in capital -8.82%2.03B-8.78%2.07B-8.78%2.07B-8.95%2.06B-13.32%2.04B-5.18%2.22B-2.88%2.27B-2.88%2.27B-4.96%2.26B-0.78%2.35B
Gains losses not affecting retained earnings 37.64%-28M78.39%-31.2M78.39%-31.2M69.56%-33.3M71.74%-34.5M60.12%-44.9M-38.85%-144.4M-38.85%-144.4M6.26%-109.4M-21.25%-122.1M
Total stockholders'equity 4.99%3.8B15.21%3.73B15.21%3.73B10.52%3.63B7.02%3.52B12.57%3.62B3.04%3.24B3.04%3.24B11.50%3.28B14.33%3.29B
Total equity 4.99%3.8B15.21%3.73B15.21%3.73B10.52%3.63B7.02%3.52B12.57%3.62B3.04%3.24B3.04%3.24B11.50%3.28B14.33%3.29B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion------
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