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Preformed Line Products Co
NASDAQ:PLPC

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Preformed Line Products Co
NASDAQ:PLPC
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Price: 272.7 USD -1.4% Market Closed
Market Cap: $1.3B

Balance Sheet

Balance Sheet Decomposition
Preformed Line Products Co

Balance Sheet
Preformed Line Products Co

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Balance Sheet
Currency: USD
Dec-2002 Dec-2003 Dec-2004 Dec-2005 Dec-2006 Dec-2007 Dec-2008 Dec-2009 Dec-2010 Dec-2011 Dec-2012 Dec-2013 Dec-2014 Dec-2015 Dec-2016 Dec-2017 Dec-2018 Dec-2019 Dec-2020 Dec-2021 Dec-2022 Dec-2023 Dec-2024 Dec-2025
Assets
Cash & Cash Equivalents
12
28
30
40
30
23
20
24
23
32
28
24
30
30
31
44
44
39
45
36
37
54
57
83
Cash Equivalents
12
28
30
40
30
23
20
24
23
32
28
24
30
30
31
44
44
39
45
36
37
54
57
83
Total Receivables
25
24
29
27
30
37
37
49
58
71
64
71
70
69
72
79
76
86
95
98
125
107
111
113
Accounts Receivables
25
24
29
27
30
37
37
49
56
69
62
68
68
64
63
74
73
84
93
98
125
107
111
113
Other Receivables
0
0
0
0
0
0
0
0
2
2
3
4
2
6
9
5
3
3
2
0
0
0
0
0
Inventory
34
31
36
38
37
44
48
56
73
89
87
74
80
70
75
78
85
96
98
115
148
149
130
149
Other Current Assets
8
5
6
7
4
19
8
9
13
14
15
16
21
10
12
6
9
11
19
23
18
16
17
18
Total Current Assets
79
89
102
110
100
124
113
138
167
206
194
186
201
180
189
207
214
232
256
272
328
325
316
363
PP&E Net
49
48
48
49
53
59
56
68
76
83
93
101
103
92
105
109
103
137
139
162
186
220
205
232
PP&E Gross
49
48
48
49
53
59
56
68
76
83
93
101
103
92
105
109
103
137
139
162
186
220
205
232
Accumulated Depreciation
75
85
91
95
102
90
90
101
110
116
125
131
135
133
142
153
159
171
180
186
197
204
214
238
Intangible Assets
5
5
3
3
3
6
4
8
13
11
14
12
14
11
11
10
9
15
14
12
14
13
10
10
Goodwill
1
1
2
2
2
4
6
7
12
12
16
14
18
16
16
17
16
28
30
28
28
29
27
31
Long-Term Investments
8
3
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Long-Term Assets
4
4
4
5
13
12
13
14
12
15
16
21
19
24
21
18
18
22
22
15
13
16
17
17
Other Assets
1
1
2
2
2
4
6
7
12
12
16
14
18
16
16
17
16
28
30
28
28
29
27
31
Total Assets
145
N/A
149
+3%
159
+7%
169
+6%
171
+1%
204
+19%
191
-6%
235
+23%
281
+19%
327
+16%
333
+2%
332
0%
354
+6%
323
-9%
341
+5%
360
+6%
359
0%
434
+21%
461
+6%
489
+6%
569
+16%
603
+6%
574
-5%
654
+14%
Liabilities
Accounts Payable
8
7
11
11
12
15
15
19
27
26
22
22
22
20
22
25
26
28
32
42
47
38
42
50
Accrued Liabilities
12
13
13
16
13
17
15
21
23
29
30
27
28
28
29
32
31
38
43
41
44
57
53
53
Short-Term Debt
1
1
1
1
4
4
3
3
1
2
0
1
2
0
1
1
9
9
17
16
18
7
8
1
Current Portion of Long-Term Debt
2
2
1
5
2
2
1
1
1
1
0
0
0
0
1
1
1
3
5
3
3
6
2
5
Other Current Liabilities
2
3
2
2
2
4
2
3
4
5
6
2
3
3
2
3
2
3
7
2
4
3
3
5
Total Current Liabilities
24
26
28
35
32
42
35
46
57
62
58
52
55
52
56
63
70
81
104
106
115
111
108
115
Long-Term Debt
6
3
2
0
2
3
3
3
9
28
9
13
32
32
43
35
25
54
33
40
68
49
18
33
Deferred Income Tax
0
0
0
0
0
2
1
2
4
3
5
4
3
3
2
2
2
3
3
3
4
4
4
6
Minority Interest
0
0
0
0
0
1
1
0
1
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Other Liabilities
1
0
0
0
5
6
15
14
15
21
20
11
21
19
17
22
13
27
29
25
22
23
21
25
Total Liabilities
31
N/A
28
-8%
31
+8%
35
+15%
40
+13%
54
+36%
55
+1%
64
+18%
84
+30%
115
+37%
92
-20%
80
-13%
111
+39%
104
-6%
117
+12%
121
+3%
109
-10%
165
+51%
169
+2%
173
+2%
210
+21%
187
-11%
152
-19%
178
+18%
Equity
Common Stock
12
12
11
12
11
11
10
11
11
11
11
11
11
13
13
13
13
13
13
13
13
14
14
14
Retained Earnings
123
123
129
136
132
140
147
166
184
207
228
238
245
292
303
312
334
353
379
411
461
520
553
584
Additional Paid In Capital
0
1
1
1
2
3
4
6
9
13
16
21
23
23
25
30
34
39
43
48
54
61
65
67
Treasury Stock
0
0
0
0
0
0
0
0
0
0
0
0
0
55
60
68
72
79
89
94
99
118
127
137
Other Equity
21
14
12
15
13
4
25
11
6
17
14
18
35
54
57
47
60
57
55
62
70
60
83
53
Total Equity
114
N/A
121
+6%
128
+6%
134
+4%
131
-2%
150
+14%
136
-9%
171
+25%
197
+15%
213
+8%
241
+13%
252
+5%
243
-4%
219
-10%
224
+2%
239
+7%
249
+5%
269
+8%
292
+9%
316
+8%
359
+13%
416
+16%
422
+1%
476
+13%
Total Liabilities & Equity
145
N/A
149
+3%
159
+7%
169
+6%
171
+1%
204
+19%
191
-6%
235
+23%
281
+19%
327
+16%
333
+2%
332
0%
354
+6%
323
-9%
341
+5%
360
+6%
359
0%
434
+21%
461
+6%
489
+6%
569
+16%
603
+6%
574
-5%
654
+14%
Shares Outstanding
Common Shares Outstanding
6
6
6
6
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
5
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