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Boston Omaha Corporation

BOC | NYSE
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$13.46
-$0.06 (-0.44%)
At close: Sep 21, 2026, 4:00 PM ET
$13.46
$0 (0.00%)
After-hours: Sep 21, 2026, 4:01 PM ET
Fiscal Year
Period Ending
FY 2025
Dec 30, 2025
FY 2024
Dec 30, 2024
FY 2023
Dec 30, 2023
FY 2022
Dec 30, 2022
FY 2021
Dec 30, 2021
FY 2020
Dec 30, 2020
Cash & Equivalents
28.62M 28.29M 21.95M 25.49M 72.51M 44.95M
Short-Term Investments
49.72M 58.32M 74.08M 48.58M 162.89M 247.57M
Long-Term Investments
126.25M 146.52M 181.35M 144.36M 80.98M 40.36M
Other Long-Term Assets
3.12M 2.33M 1.89M -26.59M 156.35K 757.88K
Receivables
16.02M 12.52M 12.33M 6.03M 4.5M 24.33M
Inventory
n/a n/a n/a -42.29M -87.54M n/a
Other Current Assets
24.56M 12.91M 17.47M 71.46M 235.49M 10.01M
Total Current Assets
118.94M 117.45M 131.39M 113.96M 390.71M 329.05M
Property-Plant & Equipment
231.03M 221.34M 205.67M 180.31M 137.71M 101.72M
Goodwill & Intangibles
233.74M 240.71M 247.91M 247.81M 196.69M 168.82M
Total Long-Term Assets
594.14M 610.9M 636.82M 569.76M 416.34M 311.66M
Total Assets
713.07M 728.35M 768.21M 683.72M 807.05M 640.71M
Account Payables
13.95M 22.25M 18.44M 10.96M 25.27M 6.83M
Deferred Revenue
3.18M 16.03M 12.33M 9.69M 7.12M 5.87M
Short-Term Debt
7.66M 1.2M 814.67K 1.55M 1.49M 5.64M
Other Current Liabilities
27.49M 9.97M 15.34M 30.78M 563.59K 15.54M
Total Current Liabilities
60.17M 54.91M 51.39M 52.98M 54.03M 33.87M
Long-Term Debt
46.38M 38.36M 26.52M 26.95M 28.51M 21.78M
Other Long-Term Liabilities
4.32M 5.43M 5.3M 3.91M 10.14M 10.83M
Total Long-Term Liabilities
116.83M 110.71M 100.37M 104.09M 112.43M 80.24M
Total Liabilities
177M 165.63M 151.75M 157.07M 166.46M 114.11M
Total Debt
108.42M 99.89M 88.86M 92.98M 90.61M 74.99M
Book Value
536.07M 562.72M 616.45M 526.65M 640.6M 526.59M
Book Value Per Share
17.06 17.87 19.83 17.69 22.05 20.51
Common Stock
31.6K 31.47K 31.31K 29.71K 29.7K 27.23K
Retained Earnings
-17.18M -4.75M 15.67M 19.58M 12.44M -42.67M
Comprehensive Income
n/a n/a n/a n/a n/a n/a
Shareholders Equity
516.14M 532.82M 538.21M 503.53M 496.33M 381.57M
Total Investments
175.98M 204.84M 255.43M 192.93M 243.87M 287.93M

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