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JFrog Ltd.

NAS: FROG

GO
/marketstate/country/us

After Hours

 --Quotes are delayed by 20 min

Dec 3, 2021, 7:59 p.m.

/zigman2/quotes/220991554/composite

$

28.59

Change

+0.08 +0.28%

Volume

Volume 32,030

Quotes are delayed by 20 min

/zigman2/quotes/220991554/composite

Previous close

$ 30.13

$ 28.51

Change

-1.62 -5.38%

Day low

Day high

$27.65

$30.13

Open

52 week low

52 week high

$27.65

$73.61

Open

Annual Financials for JFrog Ltd.

Assets

Fiscal year is January-December. All values USD millions. 201820192020 5-year trend
Cash & Short Term Investments --178.17M166.5M598.07M
Cash Only --178.17M39.16M164.48M
Short-Term Investments ---127.33M433.6M
Total Accounts Receivable --19.79M24.74M37.05M
Accounts Receivables, Net --19.79M24.74M37.05M
Accounts Receivables, Gross --19.79M24.74M37.05M
Bad Debt/Doubtful Accounts -----
Other Receivables -----
Inventories -----
Finished Goods -----
Work in Progress -----
Raw Materials -----
Progress Payments & Other -----
Other Current Assets --2.98M5.35M14.2M
Miscellaneous Current Assets --2.98M5.35M14.2M
Total Current Assets --200.95M196.58M649.31M
201820192020 5-year trend
Net Property, Plant & Equipment --3.15M3.53M4.96M
Property, Plant & Equipment - Gross --4.77M6.44M9.34M
Buildings -----
Land & Improvements -----
Computer Software and Equipment --2.2M3.11M4.08M
Other Property, Plant & Equipment --2.57M3.33M5.26M
Accumulated Depreciation --1.63M2.91M4.37M
Total Investments and Advances --1.61M1.78M264,000
Other Long-Term Investments --1.61M1.78M264,000
Long-Term Note Receivable -----
Intangible Assets --4.77M22.93M21.37M
Net Goodwill --1.63M17.32M17.32M
Net Other Intangibles --3.14M5.61M4.05M
Other Assets --6.63M13.22M13.32M
Tangible Other Assets --3.04M7.23M5.13M
Total Assets --217.1M238.04M689.23M

Liabilities & Shareholders' Equity

201820192020 5-year trend
ST Debt & Current Portion LT Debt -----
Short Term Debt -----
Current Portion of Long Term Debt -----
Accounts Payable --3.19M4.99M9.91M
Income Tax Payable -----
Other Current Liabilities --58.44M81.01M112.79M
Dividends Payable -----
Accrued Payroll --4.33M5.33M8.8M
Miscellaneous Current Liabilities --54.11M75.68M103.99M
Total Current Liabilities --61.63M86M122.7M
Long-Term Debt -----
Long-Term Debt excl. Capitalized Leases -----
Non-Convertible Debt -----
Convertible Debt -----
Capitalized Lease Obligations -----
Provision for Risks & Charges -----
Deferred Taxes -----
Deferred Taxes - Credit -----
Deferred Taxes - Debit -----
Other Liabilities --18.31M9.63M12.64M
Other Liabilities (excl. Deferred Income) ----1.55M
Deferred Income --18.31M9.63M11.09M
Total Liabilities --79.94M95.63M135.34M
Non-Equity Reserves -----
Preferred Stock (Carrying Value) --175.84M175.84M-
Redeemable Preferred Stock --175.84M175.84M-
Non-Redeemable Preferred Stock -----
Common Equity (Total) --(38.68M)(33.43M)553.89M
Common Stock Par/Carry Value --76,00080,000257,000
Retained Earnings --(59.99M)(65.38M)(74.79M)
ESOP Debt Guarantee -----
Cumulative Translation Adjustment/Unrealized For. Exch. Gain -----
Unrealized Gain/Loss Marketable Securities ---35,00035,000
Revaluation Reserves -----
Treasury Stock -----
Total Shareholders' Equity --137.17M142.41M553.89M
Accumulated Minority Interest -----
Total Equity --137.17M142.41M553.89M
Liabilities & Shareholders' Equity --217.1M238.04M689.23M
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