Broadridge Financial Solutions Inc
NYSE:BR
Balance Sheet
Balance Sheet Decomposition
Broadridge Financial Solutions Inc
Broadridge Financial Solutions Inc
Balance Sheet
Broadridge Financial Solutions Inc
| Jun-2006 | Jun-2007 | Jun-2008 | Jun-2009 | Jun-2010 | Jun-2011 | Jun-2012 | Jun-2013 | Jun-2014 | Jun-2015 | Jun-2016 | Jun-2017 | Jun-2018 | Jun-2019 | Jun-2020 | Jun-2021 | Jun-2022 | Jun-2023 | Jun-2024 | Jun-2025 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Assets | |||||||||||||||||||||
| Cash & Cash Equivalents |
90
|
155
|
232
|
173
|
413
|
242
|
321
|
266
|
348
|
324
|
728
|
271
|
264
|
273
|
477
|
275
|
225
|
252
|
304
|
562
|
|
| Cash Equivalents |
90
|
155
|
232
|
173
|
413
|
242
|
321
|
266
|
348
|
324
|
728
|
271
|
264
|
273
|
477
|
275
|
225
|
252
|
304
|
562
|
|
| Total Receivables |
1 241
|
1 744
|
1 785
|
381
|
354
|
407
|
371
|
442
|
425
|
445
|
453
|
590
|
615
|
664
|
711
|
820
|
947
|
974
|
1 066
|
1 077
|
|
| Accounts Receivables |
404
|
503
|
415
|
381
|
354
|
407
|
371
|
442
|
425
|
445
|
453
|
590
|
615
|
664
|
711
|
820
|
947
|
974
|
1 066
|
1 077
|
|
| Other Receivables |
837
|
1 241
|
1 370
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Other Current Assets |
75
|
61
|
62
|
1 497
|
226
|
103
|
86
|
99
|
108
|
93
|
108
|
129
|
112
|
105
|
140
|
167
|
157
|
166
|
171
|
179
|
|
| Total Current Assets |
1 406
|
1 960
|
2 079
|
2 052
|
992
|
751
|
777
|
807
|
881
|
861
|
1 289
|
990
|
991
|
1 042
|
1 328
|
1 261
|
1 328
|
1 393
|
1 541
|
1 817
|
|
| PP&E Net |
81
|
77
|
83
|
75
|
87
|
83
|
79
|
81
|
88
|
97
|
112
|
198
|
204
|
189
|
454
|
439
|
374
|
344
|
348
|
346
|
|
| PP&E Gross |
81
|
77
|
83
|
75
|
87
|
83
|
79
|
81
|
88
|
97
|
0
|
198
|
204
|
189
|
454
|
439
|
374
|
344
|
348
|
346
|
|
| Accumulated Depreciation |
225
|
237
|
270
|
291
|
296
|
322
|
340
|
344
|
364
|
396
|
0
|
369
|
392
|
424
|
307
|
333
|
368
|
408
|
444
|
489
|
|
| Intangible Assets |
56
|
31
|
30
|
29
|
46
|
147
|
143
|
121
|
130
|
196
|
210
|
486
|
494
|
556
|
584
|
1 425
|
1 077
|
1 467
|
1 307
|
1 277
|
|
| Goodwill |
480
|
480
|
484
|
482
|
510
|
736
|
780
|
778
|
856
|
971
|
999
|
1 159
|
1 255
|
1 500
|
1 675
|
3 720
|
3 485
|
3 462
|
3 469
|
3 610
|
|
| Note Receivable |
0
|
0
|
0
|
0
|
21
|
21
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
48
|
82
|
90
|
119
|
109
|
125
|
138
|
|
| Long-Term Investments |
0
|
0
|
0
|
0
|
0
|
18
|
13
|
21
|
25
|
33
|
49
|
63
|
80
|
100
|
142
|
194
|
222
|
242
|
271
|
299
|
|
| Other Long-Term Assets |
111
|
129
|
157
|
136
|
138
|
148
|
195
|
210
|
212
|
210
|
213
|
253
|
280
|
445
|
626
|
990
|
1 565
|
1 217
|
1 180
|
1 058
|
|
| Other Assets |
480
|
480
|
484
|
482
|
510
|
736
|
780
|
778
|
856
|
971
|
999
|
1 159
|
1 255
|
1 500
|
1 675
|
3 720
|
3 485
|
3 462
|
3 469
|
3 610
|
|
| Total Assets |
2 135
N/A
|
2 678
+25%
|
2 834
+6%
|
2 775
-2%
|
1 794
-35%
|
1 904
+6%
|
1 988
+4%
|
2 018
+2%
|
2 192
+9%
|
2 368
+8%
|
2 873
+21%
|
3 150
+10%
|
3 305
+5%
|
3 881
+17%
|
4 890
+26%
|
8 120
+66%
|
8 169
+1%
|
8 233
+1%
|
8 242
+0%
|
8 545
+4%
|
|
| Liabilities | |||||||||||||||||||||
| Accounts Payable |
78
|
92
|
90
|
72
|
91
|
119
|
102
|
143
|
116
|
116
|
133
|
167
|
192
|
134
|
152
|
249
|
245
|
157
|
314
|
220
|
|
| Accrued Liabilities |
173
|
288
|
253
|
217
|
261
|
185
|
241
|
277
|
226
|
227
|
247
|
301
|
318
|
319
|
405
|
520
|
548
|
525
|
519
|
547
|
|
| Short-Term Debt |
116
|
109
|
0
|
0
|
0
|
400
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Current Portion of Long-Term Debt |
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
0
|
125
|
0
|
0
|
0
|
400
|
0
|
0
|
1 179
|
0
|
499
|
|
| Other Current Liabilities |
623
|
940
|
1 183
|
1 141
|
134
|
79
|
67
|
49
|
142
|
166
|
188
|
277
|
267
|
350
|
384
|
519
|
521
|
538
|
589
|
595
|
|
| Total Current Liabilities |
990
|
1 429
|
1 525
|
1 430
|
486
|
783
|
410
|
470
|
484
|
509
|
693
|
745
|
777
|
803
|
1 341
|
1 288
|
1 313
|
2 398
|
1 422
|
1 861
|
|
| Long-Term Debt |
0
|
618
|
448
|
324
|
324
|
124
|
524
|
525
|
524
|
689
|
891
|
1 102
|
1 053
|
1 470
|
1 388
|
3 888
|
3 793
|
2 235
|
3 355
|
2 753
|
|
| Deferred Income Tax |
0
|
0
|
0
|
23
|
56
|
71
|
63
|
71
|
62
|
62
|
62
|
82
|
58
|
87
|
127
|
401
|
446
|
391
|
277
|
261
|
|
| Other Liabilities |
101
|
101
|
115
|
89
|
121
|
128
|
139
|
137
|
160
|
180
|
182
|
217
|
322
|
394
|
688
|
734
|
697
|
969
|
1 020
|
1 015
|
|
| Total Liabilities |
1 092
N/A
|
2 147
+97%
|
2 088
-3%
|
1 866
-11%
|
987
-47%
|
1 107
+12%
|
1 137
+3%
|
1 202
+6%
|
1 230
+2%
|
1 440
+17%
|
1 827
+27%
|
2 146
+17%
|
2 210
+3%
|
2 753
+25%
|
3 543
+29%
|
6 311
+78%
|
6 250
-1%
|
5 993
-4%
|
6 074
+1%
|
5 890
-3%
|
|
| Equity | |||||||||||||||||||||
| Common Stock |
0
|
1
|
1
|
1
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
2
|
|
| Retained Earnings |
0
|
90
|
248
|
432
|
547
|
642
|
686
|
811
|
974
|
1 132
|
1 298
|
1 469
|
1 727
|
2 088
|
2 303
|
2 584
|
2 824
|
3 113
|
3 435
|
3 863
|
|
| Additional Paid In Capital |
0
|
413
|
470
|
506
|
588
|
667
|
739
|
783
|
811
|
856
|
901
|
988
|
1 049
|
1 109
|
1 179
|
1 246
|
1 345
|
1 437
|
1 553
|
1 663
|
|
| Unrealized Security Profit/Loss |
0
|
0
|
0
|
0
|
0
|
2
|
0
|
0
|
0
|
0
|
0
|
2
|
0
|
13
|
0
|
0
|
0
|
0
|
0
|
0
|
|
| Treasury Stock |
0
|
0
|
2
|
38
|
328
|
530
|
580
|
784
|
835
|
1 040
|
1 117
|
1 399
|
1 631
|
2 000
|
2 036
|
2 031
|
2 025
|
2 026
|
2 489
|
2 599
|
|
| Other Equity |
1 043
|
27
|
29
|
7
|
1
|
18
|
3
|
4
|
10
|
21
|
38
|
58
|
52
|
58
|
101
|
9
|
226
|
285
|
332
|
273
|
|
| Total Equity |
1 043
N/A
|
531
-49%
|
746
+40%
|
909
+22%
|
807
-11%
|
797
-1%
|
851
+7%
|
816
-4%
|
962
+18%
|
928
-4%
|
1 046
+13%
|
1 004
-4%
|
1 094
+9%
|
1 128
+3%
|
1 347
+19%
|
1 809
+34%
|
1 919
+6%
|
2 241
+17%
|
2 168
-3%
|
2 655
+22%
|
|
| Total Liabilities & Equity |
2 135
N/A
|
2 678
+25%
|
2 834
+6%
|
2 775
-2%
|
1 794
-35%
|
1 904
+6%
|
1 988
+4%
|
2 018
+2%
|
2 192
+9%
|
2 368
+8%
|
2 873
+21%
|
3 150
+10%
|
3 305
+5%
|
3 881
+17%
|
4 890
+26%
|
8 120
+66%
|
8 169
+1%
|
8 233
+1%
|
8 242
+0%
|
8 545
+4%
|
|
| Shares Outstanding | |||||||||||||||||||||
| Common Shares Outstanding |
138
|
139
|
140
|
139
|
129
|
124
|
125
|
119
|
120
|
118
|
118
|
117
|
116
|
114
|
115
|
116
|
117
|
118
|
117
|
117
|
|