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STRATEGY INC 8.00% SERIES A PERPETUAL STRIKE PFD (STRK)

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  • 72.750
  • +0.490+0.68%
Close Aug 24 15:58 ET
  • 72.750
  • 0.0000.00%
Post 20:02 ET
1.02BMarket Cap0.00P/E (TTM)

STRATEGY INC 8.00% SERIES A PERPETUAL STRIKE PFD (STRK) Balance Sheet

Quarterly·All
YOY yoy
Hide blank lines yoy
Currency: USD
2026/Q2
2026/Q1
2025/Q4
2025/Q3
2025/Q2
2025/Q1
2024/Q4
2024/Q3
2024/Q2
2024/Q1
2023/Q4
2023/Q3
2023/Q2
2023/Q1
2022/Q4
2022/Q3
2022/Q2
2022/Q1
2021/Q4
2021/Q3
Total Assets
-18.85%52.56B
+23.56%54.27B
+138.52%61.64B
+782.34%73.62B
+818.37%64.77B
+591.48%43.92B
+442.65%25.84B
+147.29%8.34B
+109.72%7.05B
+109.87%6.35B
+97.59%4.76B
+32.56%3.37B
+30.94%3.36B
-16.82%3.03B
-32.24%2.41B
-14.77%2.55B
-2.13%2.57B
+48.93%3.64B
+142.71%3.56B
+286.37%2.99B
Total Current Assets
+1150.17%2.67B
+1074.40%2.39B
+916.21%2.56B
+15.00%213.95M
+2.49%213.46M
-15.72%203.61M
-5.81%252.32M
-6.78%186.04M
-0.65%208.27M
-6.96%241.59M
+1.26%267.90M
-1.35%199.57M
-4.57%209.63M
+5.14%259.68M
-1.27%264.57M
+2.36%202.29M
+5.38%219.68M
-1.50%246.99M
-1.71%267.97M
-9.53%197.62M
Cash and Cash Equivalents & Short-Term Investments
+4786.68%2.45B
+3560.52%2.21B
+5937.91%2.30B
+17.14%54.29M
-25.15%50.10M
-25.86%60.30M
-18.58%38.12M
+2.96%46.34M
+1.45%66.92M
-13.77%81.33M
+6.80%46.82M
-25.47%45.01M
-4.93%65.97M
+1.76%94.31M
-30.81%43.84M
+5.99%60.39M
+23.03%69.39M
+12.28%92.68M
+6.17%63.36M
+8.21%56.98M
-Cash and Cash Equivalents
+3317.18%1.71B
+3560.52%2.21B
+5937.91%2.30B
+17.14%54.29M
-25.15%50.10M
-25.86%60.30M
-18.58%38.12M
+2.96%46.34M
+1.45%66.92M
-13.77%81.33M
+6.80%46.82M
-25.47%45.01M
-4.93%65.97M
+1.76%94.31M
-30.81%43.84M
+5.99%60.39M
+23.03%69.39M
+12.28%92.68M
+6.17%63.36M
+8.21%56.98M
-Short Term Investments
--736.15M
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
----
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Receivables
+5.02%123.79M
+16.90%122.26M
+13.55%205.75M
+5.82%113.41M
+5.02%117.87M
-9.17%104.59M
-1.42%181.20M
-16.70%107.17M
-7.93%112.23M
-17.26%115.15M
-2.89%183.82M
+17.03%128.65M
+2.74%121.90M
+9.65%139.18M
+0.00%189.28M
-11.17%109.93M
-9.79%118.65M
-15.73%126.93M
-4.14%189.28M
-16.67%123.75M
-Accounts Receivable
+5.02%123.79M
+16.90%122.26M
+13.55%205.75M
+5.82%113.41M
+5.02%117.87M
-9.17%104.59M
-1.42%181.20M
-16.70%107.17M
-7.93%112.23M
-17.26%115.15M
-2.89%183.82M
+17.03%128.65M
+2.74%121.90M
+9.65%139.18M
+0.00%189.28M
-11.17%109.93M
-9.79%118.65M
-15.73%126.93M
-4.14%189.28M
-16.67%123.75M
Restricted Cash
-9.33%1.85M
+3.37%2.03M
+5.22%1.87M
+2.85%1.92M
+8.47%2.04M
-18.40%1.96M
-4.09%1.78M
-0.16%1.86M
-9.93%1.88M
+11.57%2.40M
-73.61%1.86M
-71.65%1.87M
-66.13%2.09M
-65.63%2.15M
+552.41%7.03M
+472.50%6.58M
+410.79%6.16M
+424.71%6.27M
-0.55%1.08M
-6.66%1.15M
Other Current Assets
+118.63%95.02M
+62.42%59.72M
+76.29%55.05M
+44.60%44.35M
+59.58%43.46M
-13.92%36.77M
-11.81%31.22M
+27.57%30.67M
+38.38%27.23M
+77.72%42.71M
+45.00%35.41M
-5.35%24.04M
-22.81%19.68M
+13.82%24.03M
+71.34%24.42M
+61.26%25.40M
+31.84%25.50M
+28.83%21.12M
-1.03%14.25M
-1.81%15.75M
Total Non-Current Assets
-22.72%49.89B
+18.67%51.88B
+130.85%59.08B
+799.84%73.41B
+843.20%64.56B
+615.49%43.72B
+469.38%25.59B
+156.98%8.16B
+117.06%6.84B
+120.84%6.11B
+109.47%4.49B
+35.48%3.17B
+34.27%3.15B
-18.42%2.77B
-34.76%2.15B
-15.98%2.34B
-2.78%2.35B
+54.69%3.39B
+175.71%3.29B
+402.94%2.79B
Net PPE
+5.86%86.57M
+6.31%86.55M
-6.25%75.83M
-4.39%79.19M
-0.18%81.78M
-3.32%81.41M
-6.25%80.89M
-2.25%82.83M
-7.71%81.92M
-7.46%84.20M
-7.83%86.28M
-11.68%84.73M
-11.01%88.77M
-9.29%90.99M
-9.42%93.61M
-10.25%95.94M
-9.32%99.75M
-10.80%100.32M
-11.34%103.35M
-14.33%106.89M
-Gross PPE
+5.86%86.57M
+6.31%86.55M
-9.64%193.55M
-4.39%79.19M
-0.18%81.78M
-3.32%81.41M
-1.17%214.21M
-2.25%82.83M
-7.71%81.92M
-7.46%84.20M
-1.00%216.75M
-11.68%84.73M
-11.01%88.77M
-9.29%90.99M
-3.12%218.93M
-10.25%95.94M
-9.32%99.75M
-10.80%100.32M
-3.97%225.98M
-14.33%106.89M
-Accumulated Depreciation
----
----
+11.70%-117.72M
----
----
----
-2.19%-133.32M
----
----
----
-4.11%-130.46M
----
----
----
-2.19%-125.32M
----
----
----
-3.27%-122.63M
----
Non Current Accounts Receivables
----
----
----
----
----
----
----
----
----
----
----
----
--1.10M
----
----
----
----
----
----
----
Goodwill and Other Intangible Assets
-22.82%49.67B
+18.61%51.65B
+146.15%58.85B
+968.56%73.21B
+1031.58%64.36B
+758.19%43.55B
+559.30%23.91B
+179.47%6.85B
+144.82%5.69B
+153.66%5.07B
+97.09%3.63B
+23.00%2.45B
+16.88%2.32B
-30.92%2.00B
-35.44%1.84B
-17.16%1.99B
-3.08%1.99B
+48.75%2.90B
+170.34%2.85B
+531.83%2.41B
-Other Intangible Assets
-22.82%49.67B
+18.61%51.65B
+146.15%58.85B
+968.56%73.21B
+1031.58%64.36B
+758.19%43.55B
+559.30%23.91B
+179.47%6.85B
+144.82%5.69B
+153.66%5.07B
+97.09%3.63B
+23.00%2.45B
+16.88%2.32B
-30.92%2.00B
-35.44%1.84B
-17.16%1.99B
-3.08%1.99B
+48.75%2.90B
+170.34%2.85B
+531.83%2.41B
Non-Current Deferred Assets
-10.53%5.11M
-6.66%5.04M
-99.70%4.51M
-99.50%5.84M
-99.45%5.72M
-99.41%5.40M
+101.34%1.53B
+90.96%1.17B
+43.46%1.03B
+41.18%919.84M
+302.64%757.57M
+163.53%614.11M
+195.45%719.03M
+72.69%651.52M
-41.16%188.15M
-10.76%233.03M
+1.78%243.37M
+219.00%377.28M
+4817.45%319.78M
+678.66%261.14M
Other Non-Current Assets
+18.72%130.20M
+63.66%136.26M
+88.11%142.58M
+123.72%114.34M
+152.40%109.66M
+162.18%83.26M
+211.91%75.79M
+111.58%51.11M
+103.79%43.45M
+33.29%31.76M
+1.61%24.30M
+15.07%24.16M
+19.88%21.32M
+31.04%23.83M
+51.18%23.92M
+41.29%20.99M
+12.88%17.79M
+21.10%18.18M
+1.31%15.82M
-3.56%14.86M
Total Liabilities
-49.76%7.24B
-16.95%8.63B
+39.20%10.60B
+239.22%15.50B
+241.43%14.40B
+163.04%10.39B
+193.11%7.61B
+80.38%4.57B
+65.81%4.22B
+52.97%3.95B
-7.01%2.60B
-7.72%2.53B
-7.67%2.54B
-6.93%2.58B
+8.35%2.79B
+8.74%2.75B
+8.19%2.76B
+33.56%2.78B
+182.52%2.58B
+558.20%2.52B
Total Current Liabilities
+57.39%495.11M
+27.98%395.06M
+28.45%456.49M
+12.49%324.09M
-29.48%314.57M
-0.36%308.69M
+9.93%355.38M
+7.62%288.11M
+63.43%446.06M
-0.83%309.81M
+1.85%323.27M
+2.76%267.72M
-0.43%272.93M
+2.47%312.40M
+1.74%317.40M
+2.60%260.52M
-0.33%274.10M
+7.49%304.88M
+9.23%311.99M
+4.19%253.91M
Payables
+330.80%190.50M
+72.78%92.81M
+46.19%77.46M
+6.58%48.72M
+0.07%44.22M
+28.30%53.72M
+22.96%52.98M
+33.25%45.71M
+31.28%44.19M
-17.27%41.87M
+0.27%43.09M
-6.89%34.31M
-6.40%33.66M
+14.00%50.60M
-6.74%42.98M
--36.85M
--35.96M
--44.39M
+2.76%46.08M
----
-Accounts Payable
-20.08%35.34M
-16.86%44.66M
-5.00%50.34M
+6.58%48.72M
+0.07%44.22M
+28.30%53.72M
+22.96%52.98M
+33.25%45.71M
+31.28%44.19M
-17.27%41.87M
+0.27%43.09M
-6.89%34.31M
-6.40%33.66M
+14.00%50.60M
-6.74%42.98M
--36.85M
--35.96M
--44.39M
+2.76%46.08M
----
-Dividends Payable
--155.16M
--48.15M
--27.12M
----
----
----
--0.00
----
----
----
----
----
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----
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Current Accrued Expenses
-0.02%5.62M
+0.00%5.97M
+1.26%5.62M
+415.45%29.90M
+10.94%5.62M
-45.12%5.97M
+271.67%5.55M
-44.06%5.80M
+239.32%5.07M
+4.92%10.88M
-47.23%1.49M
-9.00%10.37M
-34.20%1.49M
-1.67%10.37M
+89.48%2.83M
--11.39M
--2.27M
--10.54M
+450.92%1.49M
----
Short-Term Debt and Capital Lease Obligation
+11308.02%39.81M
+5881.33%31.40M
+5956.67%31.31M
-37.92%316.00K
-99.76%349.00K
+6.71%525.00K
+7.04%517.00K
+7.16%509.00K
+30908.33%145.12M
+6.96%492.00K
+6.39%483.00K
--475.00K
--468.00K
--460.00K
--454.00K
----
----
----
----
----
-Current Debt
+11308.02%39.81M
+5881.33%31.40M
+5956.67%31.31M
-37.92%316.00K
-99.76%349.00K
+6.71%525.00K
+7.04%517.00K
+7.16%509.00K
+30908.33%145.12M
+6.96%492.00K
+6.39%483.00K
--475.00K
--468.00K
--460.00K
--454.00K
----
----
----
----
----
Current Deferred Liabilities
+4.02%222.86M
+7.20%231.22M
+14.35%272.12M
+8.81%200.64M
+4.60%214.25M
-0.12%215.69M
+4.30%237.97M
+2.92%184.40M
+4.61%204.84M
+1.98%215.96M
+4.94%228.16M
+7.97%179.17M
+4.10%195.82M
+2.69%211.77M
+3.61%217.43M
+3.26%165.93M
+2.89%188.10M
+3.64%206.22M
+9.73%209.86M
-0.09%160.70M
Total Non-Current Liabilities
-52.15%6.74B
-18.32%8.24B
+39.72%10.14B
+254.47%15.18B
+273.46%14.09B
+176.95%10.09B
+219.15%7.26B
+88.97%4.28B
+66.10%3.77B
+60.37%3.64B
-8.15%2.27B
-8.82%2.27B
-8.47%2.27B
-8.08%2.27B
+9.26%2.48B
+9.42%2.49B
+9.22%2.48B
+37.68%2.47B
+261.46%2.27B
+1523.05%2.27B
Long Term Accounts Payable and Other Payables
----
----
----
----
----
----
----
----
----
----
----
----
--6.10M
----
----
----
----
----
----
----
Long Term Debt and Capital Lease Obligation
-18.05%6.73B
+0.39%8.23B
+13.21%8.20B
+92.57%8.22B
+118.45%8.21B
+126.52%8.19B
+223.09%7.25B
+90.62%4.27B
+67.72%3.76B
+61.39%3.62B
-8.29%2.24B
-8.44%2.24B
-8.39%2.24B
-7.99%2.24B
+9.60%2.45B
+9.60%2.45B
+9.64%2.45B
+39.69%2.44B
+291.06%2.23B
+2234.92%2.23B
-Long Term Debt
-18.28%6.67B
+0.31%8.17B
+13.46%8.16B
+94.06%8.17B
+120.40%8.16B
+128.73%8.14B
+229.55%7.19B
+93.21%4.21B
+70.04%3.70B
+63.55%3.56B
-8.26%2.18B
-8.28%2.18B
-8.29%2.18B
-7.87%2.18B
+10.37%2.38B
+10.40%2.38B
+10.41%2.37B
+42.12%2.36B
+343.11%2.16B
--2.15B
-Long Term Capital Lease Obligation
+18.80%60.85M
+13.35%60.86M
-18.20%46.14M
-16.23%48.16M
-9.42%51.22M
-8.11%53.69M
-7.67%56.40M
-3.73%57.50M
-11.39%56.54M
-10.60%58.43M
-9.29%61.09M
-13.80%59.72M
-11.57%63.81M
-11.63%65.36M
-12.09%67.34M
-12.24%69.28M
-10.80%72.16M
-9.64%73.96M
-9.15%76.61M
-17.42%78.94M
Non-Current Deferred Liabilities
-99.92%4.61M
-99.65%6.60M
+35829.05%1.93B
+103636.17%6.95B
+92760.42%5.87B
+27476.38%1.89B
-39.46%5.38M
-14.48%6.70M
-44.76%6.32M
-42.22%6.84M
-31.48%8.88M
-10.49%7.84M
+33.02%11.44M
+41.93%11.84M
+58.10%12.96M
-13.44%8.75M
-5.21%8.60M
-48.89%8.35M
-64.16%8.20M
-13.42%10.11M
Other Non-Current Liabilities
+5.44%4.93M
+8.63%4.82M
-11.95%4.74M
-15.61%4.79M
-21.68%4.67M
-74.71%4.44M
-75.78%5.38M
-68.87%5.68M
-49.13%5.97M
-0.70%17.55M
+29.69%22.21M
-39.41%18.23M
-54.38%11.73M
-32.91%17.68M
-34.70%17.12M
+3.99%30.09M
-17.18%25.71M
-23.25%26.35M
-21.44%26.22M
-11.38%28.93M
Total Equity
-10.01%45.33B
+36.12%45.64B
+179.99%51.04B
+1440.08%58.12B
+1676.88%50.37B
+1296.84%33.53B
+742.04%18.23B
+349.03%3.77B
+246.08%2.83B
+441.53%2.40B
+665.09%2.16B
+519.59%840.40M
+537.87%819.12M
-48.64%443.21M
-139.14%-383.12M
-143.42%-200.29M
-341.63%-187.07M
+136.41%863.00M
+77.01%978.96M
+18.50%461.31M
Stockholders' Equity
-10.01%45.33B
+36.12%45.64B
+179.99%51.04B
+1440.08%58.12B
+1676.88%50.37B
+1296.84%33.53B
+742.04%18.23B
+349.03%3.77B
+246.08%2.83B
+441.53%2.40B
+665.09%2.16B
+519.59%840.40M
+537.87%819.12M
-48.64%443.21M
-139.14%-383.12M
-143.42%-200.29M
-341.63%-187.07M
+136.41%863.00M
+77.01%978.96M
+18.50%461.31M
Capital Stock
+398.97%14.44B
+588.65%8.99B
+2812837.40%6.92B
+2729436.32%5.79B
+10336335.71%2.89B
+5018223.08%1.30B
+846.15%246.00K
+821.74%212.00K
+21.74%28.00K
+18.18%26.00K
+30.00%26.00K
+15.00%23.00K
+15.00%23.00K
+10.00%22.00K
+0.00%20.00K
+5.26%20.00K
+11.11%20.00K
+11.11%20.00K
+11.11%20.00K
+5.56%19.00K
-Common Stock
+32.38%372.00K
+29.59%346.00K
+26.83%312.00K
+35.38%287.00K
+903.57%281.00K
+926.92%267.00K
+846.15%246.00K
+821.74%212.00K
+21.74%28.00K
+18.18%26.00K
+30.00%26.00K
+15.00%23.00K
+15.00%23.00K
+10.00%22.00K
+0.00%20.00K
+5.26%20.00K
+11.11%20.00K
+11.11%20.00K
+11.11%20.00K
+5.56%19.00K
-Preferred Stock
+399.01%14.44B
+588.77%8.98B
--6.92B
--5.79B
--2.89B
--1.30B
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
--0.00
Additional Paid-In Capital
+47.93%46.09B
+66.65%43.13B
+85.22%37.81B
+450.98%33.39B
+551.12%31.16B
+509.30%25.88B
+415.75%20.41B
+122.30%6.06B
+86.98%4.79B
+92.59%4.25B
+114.96%3.96B
+53.27%2.73B
+45.39%2.56B
+26.47%2.21B
+6.60%1.84B
+58.98%1.78B
+152.45%1.76B
+154.24%1.74B
+126.35%1.73B
+84.93%1.12B
Retained Earnings
-193.11%-15.20B
-201.88%-6.47B
+391.75%6.32B
+1367.16%18.95B
+1513.42%16.32B
+703.59%6.35B
-116.85%-2.17B
-37.37%-1.50B
-22.22%-1.15B
-8.81%-1.05B
+30.04%-999.23M
+7.66%-1.09B
+17.95%-944.92M
-982.94%-967.16M
-3546.64%-1.43B
-996.89%-1.18B
-787.30%-1.15B
-119.13%-89.31M
-92.80%41.44M
-77.08%131.42M
Less: Treasury Stock
----
----
--0.00
----
----
-100.00%0.00
-100.00%0.00
+0.00%782.10M
+0.00%782.10M
+0.00%782.10M
+0.00%782.10M
+0.00%782.10M
+0.00%782.10M
+0.00%782.10M
+0.00%782.10M
+0.00%782.10M
+0.00%782.10M
+0.00%782.10M
+0.00%782.10M
+0.00%782.10M
Gains/Losses Not Affecting Retained Earnings
-67.99%-8.43M
+33.88%-7.91M
+66.39%-5.17M
+46.63%-5.11M
+62.95%-5.02M
+9.13%-11.97M
-34.43%-15.38M
+37.61%-9.58M
-3.04%-13.55M
-0.81%-13.17M
+17.08%-11.44M
+15.53%-15.36M
+3.77%-13.15M
-36.76%-13.06M
-82.96%-13.80M
-168.09%-18.18M
-156.67%-13.67M
-66.96%-9.55M
-94.16%-7.54M
+1.72%-6.78M
Deadline
Jun 30, 2026
Mar 31, 2026
Dec 31, 2025
Sep 30, 2025
Jun 30, 2025
Mar 31, 2025
Dec 31, 2024
Sep 30, 2024
Jun 30, 2024
Mar 31, 2024
Dec 31, 2023
Sep 30, 2023
Jun 30, 2023
Mar 31, 2023
Dec 31, 2022
Sep 30, 2022
Jun 30, 2022
Mar 31, 2022
Dec 31, 2021
Sep 30, 2021
Accounting Standard
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
US_GAAP
2026/Q22026/Q12025/Q42025/Q32025/Q22025/Q12024/Q42024/Q32024/Q22024/Q12023/Q42023/Q32023/Q22023/Q12022/Q42022/Q32022/Q22022/Q12021/Q42021/Q3
Market Insights
China Concept Stocks
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