ContextLogic Holdings LOGC
OTC LOGC
$14.84 +0.02 (+0.13%)
At close: Sep 18, 2026 · 4:00 PM EDT

ContextLogic Holdings (LOGC) Debt Ratio (2025 - 2026)

ContextLogic Holdings (LOGC) recorded quarterly Debt Ratio of 0.22 in Q2 2026, up 0.72% on a QoQ basis from 0.22 in Q1 2026.

Analysis

ContextLogic Holdings (LOGC) Debt Ratio (2025 - 2026) Analysis & Trends

ContextLogic Holdings (LOGC) has reported Debt Ratio for 2 consecutive years, with 0.22 the latest figure, recorded in Q2 2026.

  • For the quarter ending Q2 2026, Debt Ratio changed N/A year-over-year to 0.22; the trailing twelve-month figure through Jun 2026 stood at 0.22 (changed N/A YoY), and the FY2025 full-year result was 0.5, changed N/A from the prior year.
  • Debt Ratio was 0.22 for Q2 2026 at ContextLogic Holdings, up from 0.22 in the prior quarter.
  • The five-year high for Debt Ratio was 0.5 in Q4 2025, with the low at 0.22 in Q1 2026.
Peer Set

Peer Comparison

# Company Market Cap Enterprise Value Gross Profit (Qtr) Debt Ratio (Qtr)
1 Materion 5.24 Bn 5.22 Bn 104.34 Mn 0.26
2 United States Lime & Minerals 3.26 Bn 2.85 Bn 46.72 Mn -
3 Minerals Technologies 2.08 Bn 1.77 Bn 133.80 Mn 0.28
4 Atlas Energy Solutions 1.70 Bn 1.53 Bn 25.86 Mn 0.38
5 Oil-Dri Corp of America 1.29 Bn 1.22 Bn 33.73 Mn 0.10
6 Compass Minerals International 1.00 Bn 946.20 Mn 37.90 Mn 0.53
7 ContextLogic Holdings 678.84 Mn 1.12 Bn 16.30 Mn 0.22
8 Guardian Metal Resources 608.56 Mn 608.56 Mn - -
9 Nouveau Monde Graphite 221.85 Mn -111.13 Mn - 0.08
10 Graftech International 214.48 Mn 69.12 Mn -422,000.00 1.15
Historic Data

Historic Data

Download Data
DateValue
Jun 30, 2026 0.22
Mar 31, 2026 0.22
Dec 31, 2025 0.50
API Access

ContextLogic Holdings Debt Ratio API

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