Sleep Number SNBRQ Balance Sheet (2011-2026)

OTC SNBRQ
$0.02 +0.00 (+0.00%)
At close: Sep 8, 2026 · 4:00 PM EDT
Reported Financials

Sleep Number Quarterly Balance Sheet

Periods 62 quarters
Latest Apr 2026

Sleep Number reported total assets of $641.01M and total liabilities of $1267.33M for the quarter ended Apr 2026, down 23.4% year over year. This balance sheet covers 62 quarters of results from Jan 2011 through Apr 2026, standardized by Business Quant from the company’s SEC filings.

Balance Sheet Jan2011 Apr2011 Jul2011 Oct2011 Dec2011 Mar2012 Jun2012 Sep2012 Dec2012 Mar2013 Jun2013 Sep2013 Dec2013 Mar2014 Jun2014 Sep2014 Jan2015 Apr2015 Jul2015 Oct2015 Jan2016 Apr2016 Jul2016 Oct2016 Dec2016 Apr2017 Jul2017 Sep2017 Dec2017 Mar2018 Jun2018 Sep2018 Dec2018 Mar2019 Jun2019 Sep2019 Dec2019 Mar2020 Jun2020 Sep2020 Jan2021 Apr2021 Jul2021 Oct2021 Jan2022 Apr2022 Jul2022 Oct2022 Dec2022 Apr2023 Jul2023 Sep2023 Dec2023 Mar2024 Jun2024 Sep2024 Dec2024 Mar2025 Jun2025 Sep2025 Jan2026 Apr2026
Assets
Current Assets
Cash & EquivalentsCash & Equiv.
2.17M1.83M2.39M1.56M2.28M1.35M1.79M1.46M1.80M0.91M2.54M2.07M2.02M1.59M1.95M1.69M1.35M1.26M1.69M1.48M
Short-term InvestmentsInvestments (Current)
Cash & Current Investments
2.17M1.83M2.39M1.56M2.28M1.35M1.79M1.46M1.80M0.91M2.54M2.07M2.02M1.59M1.95M1.69M1.35M1.26M1.69M1.48M
Receivables - NetNet Receivables
71.29M76.24M77.39M80.17M80.65M82.99M83.69M84.58M83.90M83.95M83.36M83.20M82.08M81.31M79.14M77.36M74.79M72.40M62.23M55.37M
Receivables - OtherOther Receivables
Receivables
71.29M76.24M77.39M80.17M80.65M82.99M83.69M84.58M83.90M83.95M83.36M83.20M82.08M81.31M79.14M77.36M74.79M72.40M62.23M55.37M
Raw Materials
Work In Process
25.29M27.11M28.05M26.93M27.27M27.89M28.12M28.31M28.12M28.22M28.57M29.19M29.77M30.33M30.15M29.75M28.79M28.36M28.70M25.97M
Inventory
88.58M86.13M105.64M103.21M121.32M113.55M114.03M116.78M121.45M116.22M115.43M100.90M95.84M93.04M103.15M103.88M99.45M89.83M82.23M78.22M
Current Deferred Tax AssetsCurrent Deferred Tax
Prepaid Assets
42.56M49.63M54.92M40.62M45.08M34.80M39.92M39.90M40.14M41.23M44.64M35.59M37.92M40.78M44.10M38.00M37.88M38.55M36.87M30.69M
Current Assets
187.00M195.33M207.62M191.90M221.87M197.67M197.76M208.42M208.52M198.07M206.13M181.05M177.38M170.27M181.28M175.37M175.53M169.80M149.96M143.47M
Non-Current Assets
Property, Plant & Equipment (Net)PP&E (Net)
182.40M184.70M195.13M197.64M196.89M199.92M200.60M194.80M191.07M190.71M179.50M167.04M153.68M140.41M129.57M119.78M109.11M95.13M86.53M73.75M
Long-Term Investments
Goodwill
64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M64.00M
Intangibles
Goodwill & Intangibles
71.67M71.07M70.47M69.87M69.27M68.67M68.06M67.56M67.09M66.69M66.63M66.58M66.52M66.47M66.41M66.36M66.30M66.25M66.19M66.13M
Long-Term Deferred Tax
3.11M6.27M7.96M11.21M16.23M21.39M20.25M21.18M25.40M27.27M33.58M34.90M31.80M24.93M0.40M0.40M
Other Non-Current Assets
69.01M72.26M75.19M78.53M76.64M78.74M81.80M82.48M82.27M82.62M82.95M84.69M87.15M93.11M93.32M94.91M82.63M76.33M65.27M61.93M
Non-Current Assets
667.50M688.29M711.92M720.69M728.22M743.12M756.18M754.39M756.64M762.97M744.75M727.42M706.26M694.38M679.53M661.42M628.99M579.59M530.10M497.53M
Assets
854.50M883.62M919.54M912.59M950.09M940.78M953.94M962.81M965.15M961.03M950.88M908.47M883.64M864.65M860.81M836.79M804.51M749.39M680.06M641.01M
Liabilities
Current Liabilities
Accounts Payables
129.92M163.89M162.55M177.03M167.21M199.15M176.21M160.30M152.21M168.88M135.90M125.30M106.04M127.99M107.62M114.31M111.21M106.97M117.98M116.39M
Notes Payables
459.60M539.50M523.50M540.20M516.50M546.60M557.70M563.90M579.50M588.20M605.60M
Payables
129.92M163.89M162.55M177.03M167.21M199.15M635.81M160.30M152.21M168.88M675.40M648.80M646.24M644.49M654.22M672.01M675.11M686.47M706.18M722.00M
Accumulated Expenses
54.22M63.90M51.24M25.70M33.27M27.34M31.29M30.71M38.93M24.28M28.27M28.30M35.30M28.91M31.04M21.37M20.93M18.54M14.97M19.41M
Other Accumulated Expenses
57.71M61.77M64.18M59.39M58.60M60.95M60.78M58.44M57.05M58.91M61.96M58.45M56.50M57.27M55.80M53.82M50.33M49.57M46.43M44.45M
Short term Debt
382.20M359.10M382.50M413.20M443.30M406.30M459.60M470.60M483.80M488.00M
Current Leases
68.00M69.32M72.36M74.05M76.04M77.24M79.53M81.38M82.44M83.14M81.76M81.30M81.00M82.49M82.31M83.00M82.21M82.00M81.19M79.34M
Current Taxes
13.78M36.59M22.09M26.29M27.43M31.36M23.62M31.65M23.36M27.20M17.13M16.66M16.56M17.68M18.62M17.43M17.85M10.55M11.43M10.91M
Current Deferred Revenue
Total Current Liabilities
846.13M890.88M906.78M937.94M945.26M923.27M929.81M925.69M921.76M919.33M936.07M906.19M900.57M894.04M908.01M904.38M903.22M898.81M912.55M931.71M
Non-Current Liabilities
Non-Current Deferred Tax LiabilityNon-Current Deferred Tax
0.66M0.53M134.61M0.31M145.05M
Operating Leases
379.38M396.90M336.19M412.57M420.52M427.61M356.88M436.94M438.48M439.72M351.39M424.75M408.72M401.15M307.20M376.91M369.79M361.03M273.11M348.04M
Other Non-Current Liabilities
99.69M104.75M100.83M105.02M103.31M104.61M105.42M106.61M106.49M105.82M105.34M104.70M102.23M100.73M97.18M94.96M94.39M92.89M72.88M66.92M
Total Non-Current Liabilities
1,158.46M1,218.94M1,243.66M1,276.78M1,289.73M1,273.64M1,286.69M1,281.25M1,277.81M1,275.90M1,287.46M1,249.64M1,228.38M1,212.71M1,215.21M1,198.67M1,190.81M1,177.84M1,185.66M1,200.41M
Total Liabilities
1,258.15M1,323.69M1,344.49M1,381.80M1,393.05M1,378.25M1,392.11M1,387.86M1,384.30M1,381.72M1,392.81M1,354.34M1,330.61M1,313.43M1,312.40M1,293.63M1,285.20M1,270.73M1,258.54M1,267.33M
Shareholder's Equity
Total Debt
382.20M359.10M382.50M413.20M443.30M406.30M919.20M470.60M483.80M488.00M539.50M523.50M540.20M516.50M546.60M557.70M563.90M579.50M588.20M605.60M
Common Equity
-403.66M-440.07M-424.95M-469.21M-442.96M-437.47M-438.18M-425.05M-419.14M-420.69M-441.93M-445.86M-446.96M-448.78M-451.59M-456.84M-480.69M-521.34M-578.48M-626.32M
Liabilities and Shareholders Equity
854.50M883.62M919.54M912.59M950.09M940.78M953.94M962.81M965.15M961.03M950.88M908.47M883.64M864.65M860.81M836.79M804.51M749.39M680.06M641.01M
Retained Earnings
-403.89M-440.29M-429.15M-469.44M-443.18M-438.15M-443.58M-432.11M-431.36M-433.68M-458.87M-466.35M-471.40M-474.54M-479.20M-487.85M-512.86M-552.65M-611.16M-661.46M