7Baggers

Fiverr Quarterly Balance Sheets Chart

Quarterly
 | 
Annual
 
 Goodwill  
 Cash and Cash Eq  
 Deferred Revenue  
20191231 20201231 20211231 20221231 20231231 038.2976.58114.87153.16191.45229.74268.03Milllion

Fiverr Quarterly Balance Sheets Table

Quarterly
 | 
Annual
 
Unit: USD2023-12-31 2022-12-31 2021-12-31 2020-12-31 2019-12-31 
       
  assets     
  current assets:     
  cash and cash equivalents183,674,000 86,752,000 71,151,000 268,030,000 24,171,000 
  restricted cash 1,137,000 2,919,000   
  marketable securities147,806,000 241,293,000 118,150,000 129,372,000 88,559,000 
  user funds151,602,000 143,020,000 127,713,000 97,984,000 55,945,000 
  bank deposits85,893,000 134,000,000 134,000,000 90,000,000 15,000,000 
  restricted deposit1,284,000  35,000 346,000 324,000 
  other receivables24,217,000 19,019,000 14,250,000 5,418,000 3,117,000 
  total current assets594,476,000 625,221,000 468,218,000 591,150,000 187,116,000 
  property and equipment4,735,000 5,660,000 6,555,000 6,265,000 5,321,000 
  operating lease right-of-use assets6,720,000 9,077,000 11,727,000 15,611,000  
  intangible assets10,722,000 14,770,000 49,221,000 5,884,000 7,188,000 
  goodwill77,270,000 77,270,000 77,270,000 11,240,000 11,240,000 
  other non-current assets1,349,000 1,965,000 1,040,000 415,000 522,000 
  total assets1,023,604,000 923,802,000 931,570,000 861,202,000 236,360,000 
  liabilities and shareholders’ equity     
  current liabilities:     
  trade payables5,494,000 8,630,000 8,699,000 3,622,000 3,749,000 
  user accounts142,203,000 133,032,000 118,616,000 92,027,000 53,013,000 
  deferred revenue11,047,000 11,353,000 12,145,000 5,957,000 3,248,000 
  other account payables and accrued expenses44,110,000 41,328,000 44,260,000 40,396,000 21,426,000 
  operating lease liabilities2,571,000 2,755,000 3,055,000 3,307,000  
  total current liabilities205,425,000 197,098,000 189,044,000 145,869,000 81,939,000 
  long-term liabilities:     
  convertible notes455,305,000 452,764,000 372,076,000 352,034,000  
  other non-current liabilities2,618,000     
  total long-term liabilities462,405,000 460,972,000 395,658,000 369,930,000  
  total liabilities667,830,000 658,070,000 584,702,000 515,799,000 87,551,000 
  commitments and contingencies     
  shareholders’ equity:     
  shares authorized: 127,400,000 and 75,000,000 ordinary shares with no par value as of december 31, 2023 and 2022, respectively     
  shares issued and outstanding: 38,653,958 and 37,537,563 ordinary shares as of december 31, 2023 and 2022, respectively     
  additional paid-in capital640,846,000 565,834,000 585,548,000 517,444,000  
  accumulated deficit-284,358,000 -288,039,000 -237,585,000 -172,573,000 -157,763,000 
  accumulated other comprehensive income-714,000  -1,095,000 532,000 238,000 
  total shareholders’ equity355,774,000 265,732,000 346,868,000   
  total liabilities and shareholders’ equity1,023,604,000 923,802,000 931,570,000   
  current maturities of long-term loan  2,269,000 560,000 503,000 
  long-term loan and other non-current liabilities 1,559,000 13,099,000 4,035,000 5,612,000 
  shares authorized: 75,000,000 ordinary shares with no par value as of december 31, 2022 and 2021     
  shares issued and outstanding: 37,537,563 and 36,761,108 ordinary shares as of december 31, 2022 and 2021, respectively     
  accumulated other comprehensive loss -12,063,000    
  shares authorized: 75,000,000 ordinary shares with no par value as of december 31, 2021 and 2020     
  shares issued and outstanding: 36,761,108 and 35,842,980 ordinary shares as of december 31, 2021 and 2020, respectively     
  liabilities and shareholders' equity     
  shareholder' equity:     
  shares authorized: 75,000,000 ordinary shares with no par value as of december 31, 2020 and 2019     
  shares issued and outstanding: 35,842,980 and 31,937,772 ordinary shares as of december 31, 2020 and 2019, respectively     
  total shareholders' equity   345,403,000 148,809,000 
  total liabilities and shareholders' equity   861,202,000 236,360,000 
  shareholders' equity:     
  share capital and additional paid-in capital:     
  shares authorized: 75,000,000 ordinary shares with no par value as of december 31, 2019, 31,390,135 ordinary shares and protected ordinary shares with no par value as of december 31, 2018     
  shares issued and outstanding: 31,937,772 ordinary shares as of december 31, 2019, 7,063,458 ordinary shares and 18,461,912 protected ordinary shares as of december 31, 2018.    306,334,000 

We provide you with 20 years of balance sheets for Fiverr stock, allowing you to gain comprehensive visibility into the fundamentals of the company. Our detailed breakdowns include key financial metrics such as asset and liabilities, payables and receivables, long debts and short debts, cash and inventories, expenses and profits. This in-depth information is essential for making informed investment decisions and understanding the financial health and performance of Fiverr. Explore the full financial landscape of Fiverr stock with our expertly curated balance sheets.

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