Life360 Inc. logo

Life360 Inc.

LIF | NASDAQ
Chart Builder DCF Calculator
$40.59
-$0.48 (-1.17%)
Sep 22, 2026, 1:59 PM ET · Market open
Fiscal Quarter
Period Ending
Q2 2026
Jun 29, 2026
Q1 2026
Mar 30, 2026
Q4 2025
Dec 30, 2025
Q3 2025
Sep 29, 2025
Q2 2025
Jun 29, 2025
Q1 2025
Mar 30, 2025
Q4 2024
Dec 30, 2024
Q3 2024
Sep 29, 2024
Q2 2024
Jun 29, 2024
Q1 2024
Mar 30, 2024
Q4 2023
Dec 30, 2023
Q3 2023
Sep 29, 2023
Q2 2023
Jun 29, 2023
Q1 2023
Mar 30, 2023
Q4 2022
Dec 30, 2022
Q3 2022
Sep 29, 2022
Cash & Equivalents
267.06M 351.19M 494.26M 455.73M 432.71M 168.85M 159.24M 158.98M 160.79M 73.4M 68.96M 61.85M 62.4M 61.39M 75.44M 43.96M
Short-Term Investments
197.92M 106.1M n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a n/a
Long-Term Investments
n/a 26.76M 30.61M 32.09M 31.27M n/a 19.76M 10.86M 5.47M 5.47M 7.22M 5.47M 5.47M 5.47M 5.47M 5.47M
Other Long-Term Assets
48.95M 20.68M 20.31M 20.16M 20.41M 24.45M 4.12M 2.66M 2.25M 7.75M 2.21M 3.15M 3.84M 4.17M 3.93M 17.15M
Receivables
98.55M 96.6M 82.93M 69.49M 62.66M 55.54M 61.52M 49.83M 41.06M 37.54M 42.83M 40.55M 35.02M 31.81M 34.75M 25.64M
Inventory
14.71M 15.14M 9.87M 14.14M 9.67M 9.57M 8.06M 13.79M 5.55M 6.34M 4.1M 10.94M 10.39M 8.8M 10.83M 15.21M
Other Current Assets
2.76M 1.18M 1.21M 1.26M 1.23M 1.18M 1.1M 1.04M 958K 961K 1.01M 1.08M 1.35M 14.44M 14.71M 1.89M
Total Current Assets
599.5M 590.02M 606.1M 556.99M 521.21M 250.11M 240.99M 235.36M 218.43M 131.46M 131.43M 124.94M 117.51M 125.67M 142.66M 95.06M
Property-Plant & Equipment
2.89M 3.13M 3.35M 3.6M 3.55M 3.2M 2.46M 2.55M 2.6M 1.62M 1.74M 1.97M 2.23M 1.33M 1.2M 2.02M
Goodwill & Intangibles
251.09M 255.25M 172.9M 174.62M 177.14M 177.66M 174.25M 175.95M 177.19M 177.96M 179.12M 180.88M 182.77M 184.49M 186.37M 188.55M
Total Long-Term Assets
452.42M 450.86M 353.58M 230.47M 232.37M 205.31M 200.59M 192.03M 187.51M 187.32M 190.29M 191.48M 194.3M 195.46M 196.98M 213.2M
Total Assets
1.05B 1.04B 959.69M 787.45M 753.58M 455.42M 441.58M 427.39M 405.94M 318.78M 321.72M 316.41M 311.81M 321.13M 339.63M 308.25M
Account Payables
15.55M 21.97M 8.41M 8.89M 2.97M 5.21M 5.46M 19.09M 10.03M 9.39M 5.9M 12.9M 7.11M 9.52M 13.79M 12.58M
Deferred Revenue
48.23M 48.2M 46.38M 46.05M 42.83M 41.76M 39.86M 37.95M 35.46M 35.51M 33.93M 33.65M 31.07M 30.14M 30.06M 27.87M
Short-Term Debt
n/a n/a 359K 386K 379K 371K n/a n/a n/a 4.06M 3.45M 3.56M 6.13M 4.87M 3.51M 3.45M
Other Current Liabilities
11.33M 13.4M 34.52M 21.43M 23.12M 21.13M 8.03M 8.44M 7.91M 5.37M 4.79M 7.3M 7.93M 23.69M 23.74M 20.83M
Total Current Liabilities
107.04M 109.84M 96.79M 81.94M 72.95M 74.03M 77.34M 85.27M 77.63M 74.02M 70.82M 72.7M 68.7M 80.61M 87.65M 84.16M
Long-Term Debt
311.48M 310.93M 310.39M 309.84M 309.3M n/a n/a n/a n/a 1.16M 1.06M 950K 1.92M 2.81M 4.06M 3.91M
Other Long-Term Liabilities
19.98M 18.74M 4.33M n/a n/a n/a n/a 1.97M 116K 1.92M 217K 278K 825K 584K 677K 1.52M
Total Long-Term Liabilities
331.45M 333.41M 314.72M 314.06M 313.97M 5.11M 5.7M 2.42M 1.6M 4.92M 3.84M 3.41M 5.4M 5.7M 7.44M 8.64M
Total Liabilities
438.49M 443.24M 411.51M 396.01M 386.92M 79.14M 83.04M 87.7M 79.22M 78.94M 74.65M 76.1M 74.09M 86.31M 95.09M 92.79M
Total Debt
311.48M 310.93M 310.75M 310.3M 309.84M 634K 723K 809K 893K 6.19M 5.56M 5.69M 9.45M 8.26M 8.39M 8.87M
Book Value
613.43M 597.63M 548.18M 391.45M 366.66M 376.28M 358.55M 339.69M 326.72M 239.84M 247.06M 240.31M 237.71M 234.82M 244.54M 215.46M
Book Value Per Share
7.17 6.98 6.44 4.56 4.34 4.51 4.31 4.14 4.62 3.50 3.62 3.58 3.58 3.58 3.53 3.47
Common Stock
82K 81K 79K 78K 78K 76K 75K 74K 74K 71K 70K 68K 68K 68K 67K 62K
Retained Earnings
-131.03M -136.09M -138.87M -268.52M -278.31M -285.32M -289.7M -298.2M -305.88M -294.92M -285.14M -282M -275.46M -271.04M -256.97M -244.67M
Comprehensive Income
-87K 75K 48K 129K -56K 45K 44K 6K 6K 10K 9K 3K 20K 18K -6K -326K
Shareholders Equity
613.43M 597.63M 548.18M 391.45M 366.66M 376.28M 358.55M 339.69M 326.72M 239.84M 247.06M 240.31M 237.71M 234.82M 244.54M 215.46M
Total Investments
197.92M 132.86M 30.61M 32.09M 31.27M n/a 19.76M 10.86M 5.47M 5.47M 7.22M 5.47M 5.47M 5.47M 5.47M 5.47M

© 2026 bestshares.com. All rights reserved.